UNITED STATES
                      SECURITIES AND EXCHANGE COMMISSION
                            Washington, D.C. 20549

                                   FORM 13F

                             FORM 13F COVER PAGE


Report for the Calendar Year or Quarter Ended: June 30, 2008


Check here if Amendment [ ]; Amendment Number:


  This Amendment (Check only one.):      [ ] is a restatement.
                                         [ ] adds new holdings entries

Institutional Investment Manager Filing this Report:

Name: AMERICAN INTERNATIONAL GROUP, INC.


Address: 70 Pine Street

         New York, New York 10270


Form 13F File Number:  28-219



The Institutional Investment Manager filing this report and the person by whom
it is signed represent that the person signing the report is authorized to
submit it, that all information contained herein is true, correct and complete,
and that it is understood that all required items, statements, schedules,
lists, and tables, are considered integral parts of this form.

Person Signing this Report on Behalf of Reporting Manager:

Name:  Win J. Neuger

Title: Executive Vice President and Chief Investment Officer

Phone: (212) 770-7000



Signature, Place, and Date of Signing:


/s/ Win J. Neuger                  New York, New York        August 14, 2008
-------------------------------    ------------------------  ------------------
(Signature)                        (City, State)             (Date)

Report Type (Check only one.):

[X] 13F HOLDINGS REPORT. (Check if all holdings of this reporting manager are
    reported in this report.)

[ ] 13F NOTICE.  (Check if no holdings reported are in this report, and all
    holdings are reported in this report and a portion are reported by other
    reporting manager(s).)

[ ] 13F COMBINATION REPORT.  (Check if a portion of the holdings for this
    reporting manager are reported in this report and a portion are reported by
    other reporting manager(s).)






                             FORM 13F SUMMARY PAGE

REPORT SUMMARY:


Number of Other Included Managers:  5



Form 13F Information Table Entry Total: 6,252

Form 13F Information Table Value Total: $18,692,927(thousands)

List of Other Included Managers:

Provide a numbered list of the name(s) and Form 13F file number(s) of all
institutional investment managers with respect to which this report is filed,
other than the manager filing this report.


No.       Form 13F File Number     Name
--        --------------------     -------------------------------------------

1         28-4637                  AIG GLOBAL INVESTMENT CORP.

2         28-2725                  AIG SUNAMERICA ASSET MANAGEMENT CORP.

3         28-3463                  BRAZOS CAPITAL MANAGEMENT, L.P.

4         28-11910                 FSC SECURITIES CORPORATION

5         28-12857                 AIG FINANCIAL ADVISORS, INC.



                            13F SECURITIES - 2Q 2008



                          TITLE                                                                    VOTING AUTHORITY
                           OF     CUSIP      VALUE     SHARES/   SH/ PUT/ INVESTMENT OTHER ------------------------------
       ISSUER NAME        CLASS   NUMBER    X $1000   PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)  SHARED (B) NONE (C)
------------------------ ------ ---------- --------- ----------- --- ---- ---------- ----- ---------- ---------- --------
                                                                                
1-800-FLOWERS.COM INC    EQUITY 68243Q106        153      23,657 SH       SOLE           1     23,657         --       --
1ST SOURCE CORP.         EQUITY 336901103        218      13,516 SH       SOLE           1     13,516         --       --
3COM CORP                EQUITY 885535104          2       1,100 SH       DEFINED        5         --         --    1,100
3COM CORP.               EQUITY 885535104      2,750   1,297,234 SH       SOLE           1  1,297,234         --       --
3D SYSTEMS CORP          EQUITY 88554D205        153      16,151 SH       SOLE           1     16,151         --       --
3M CO                    EQUITY 88579Y101     45,321     651,262 SH       SOLE           1    651,262         --       --
3M CO                    EQUITY 88579Y101      2,143      30,801 SH       SOLE           2     30,801         --       --
3M CO                    EQUITY 88579Y101         61         872 SH       DEFINED        4         --         --      872
3M CO                    EQUITY 88579YAB7          3           4 PRN      DEFINED        4         --         --        4
3M CO                    EQUITY 88579Y101        323       4,637 SH       DEFINED        5         --         --    4,637
3PAR INC                 EQUITY 88580F109        193      24,665 SH       SOLE           1     24,665         --       --
4 KIDS ENTMT INC         EQUITY 350865101          5         690 SH       DEFINED        5         --         --      690
40 / 86 STRATEGIC
   INCOME FD             EQUITY 349739102        178      20,976 SH       DEFINED        4         --         --   20,976
40 / 86 STRATEGIC
   INCOME FD             EQUITY 349739102        234      27,571 SH       DEFINED        5         --         --   27,571
99 CENTS ONLY STORES     EQUITY 65440K106        997     151,122 SH       SOLE           1    151,122         --       --
AAON INC                 EQUITY 360206           234      12,148 SH       SOLE           1     12,148         --       --
AAR CORP.                EQUITY 361105           475      35,092 SH       SOLE           1     35,092         --       --
AARON RENTS INC          EQUITY 2535201            9         414 SH       DEFINED        5         --         --      414
AARON RENTS, INC.        EQUITY 2535201          918      41,103 SH       SOLE           1     41,103         --       --
AASTROM BIOSCIENCES INC  EQUITY 00253U107          4      10,000 SH       DEFINED        5         --         --   10,000
ABAXIS INC               EQUITY 2567105          474      19,634 SH       SOLE           1     19,634         --       --
ABB LTD                  EQUITY 375204           680      24,000 SH       SOLE           2     24,000         --       --
ABB LTD                  EQUITY 375204            71       2,515 SH       DEFINED        4         --         --    2,515
ABB LTD                  EQUITY 375204            95       3,370 SH       DEFINED        5         --         --    3,370
ABBOTT LABORATORIES      EQUITY 2824100       51,197     966,527 SH       SOLE           1    966,527         --       --
ABBOTT LABS              EQUITY 2824100       10,909     205,942 SH       SOLE           2    205,942         --       --
ABBOTT LABS              EQUITY 2824100           16         302 SH       DEFINED        4         --         --      302
ABBOTT LABS              EQUITY 2824100           79       1,490 SH       DEFINED        5         --         --    1,490
ABERCROMBIE & FITCH CO   EQUITY 2896207            5          80 SH       DEFINED        5         --         --       80
ABERCROMBIE + FITCH CO   EQUITY 2896207            6          99 SH       SOLE           2         99         --       --
ABERCROMBIE AND FITCH
   CO.                   EQUITY 2896207        6,971     111,221 SH       SOLE           1    111,221         --       --
ABERDEEN ASIA PACIFIC
   INCOM                 EQUITY 3009107           12       2,000 SH       DEFINED        4         --         --    2,000
ABERDEEN ASIA PACIFIC
   INCOM                 EQUITY 3009107           23       3,870 SH       DEFINED        5         --         --    3,870
ABERDEEN AUSTRALIA EQTY
   FD I                  EQUITY 3011103          199      12,893 SH       DEFINED        4         --         --   12,893
ABERDEEN AUSTRALIA EQTY
   FD I                  EQUITY 3011103           72       4,654 SH       DEFINED        5         --         --    4,654
ABINGTON BANCORP INC     EQUITY 00350L109        202      22,149 SH       SOLE           1     22,149         --       --
ABIOMED, INC.            EQUITY 3654100          489      27,576 SH       SOLE           1     27,576         --       --
ABITIBIBOWATER INC       EQUITY 3687100          449      48,159 SH       SOLE           1     48,159         --       --
ABM INDUSTRIES, INC.     EQUITY 957100           881      39,605 SH       SOLE           1     39,605         --       --
ABRAXAS PETROLEUM CORP   EQUITY 3830106          206      38,029 SH       SOLE           1     38,029         --       --
ABRAXIS BIOSCIENCE
INC/NEW                  EQUITY 00383Y102         20         312 SH       SOLE           1        312         --       --
ACADIA PHARMACEUTICALS
   INC                   EQUITY 4225108          110      29,902 SH       SOLE           1     29,902         --       --
ACCELRYS INC             EQUITY 00430U103        117      24,271 SH       SOLE           1     24,271         --       --





                                                                                
ACCENTURE LTD BERMUDA    EQUITY G1150G111      1,692      41,550 SH       SOLE           2     41,550         --       --
ACCENTURE LTD BERMUDA    EQUITY G1150G111         35         867 SH       DEFINED        4         --         --      867
ACCENTURE LTD BERMUDA    EQUITY G1150G111         98       2,398 SH       DEFINED        5         --         --    2,398
ACCO BRANDS CORP         EQUITY 00081T108        551      49,065 SH       SOLE           1     49,065         --       --
ACCURAY INC              EQUITY 4397105          238      32,687 SH       SOLE           1     32,687         --       --
ACCURIDE CORP            EQUITY 4398103          136      32,097 SH       SOLE           1     32,097         --       --
ACE LTD                  EQUITY G0070K103        614      11,149 SH       SOLE           2     11,149         --       --
ACE LTD                  EQUITY G0070K103          6         110 SH       DEFINED        4         --         --      110
ACERGY S A               EQUITY 4.43E+106          7         322 SH       DEFINED        4         --         --      322
ACERGY S A               EQUITY 4.43E+106         11         500 SH       DEFINED        5         --         --      500
ACETO CORP               EQUITY 4446100          169      22,140 SH       SOLE           1     22,140         --       --
ACI WORLDWIDE INC        EQUITY 4498101        1,946     110,629 SH       SOLE           1    110,629         --       --
ACI WORLDWIDE INC        EQUITY 4498101            5         300 SH       DEFINED        5         --         --      300
ACME PACKET INC          EQUITY 4764106          948     122,108 SH       SOLE           1    122,108         --       --
ACORDA THERAPEUTICS INC  EQUITY 00484M106        971      29,587 SH       SOLE           1     29,587         --       --
ACTEL CORP.              EQUITY 4934105          386      22,903 SH       SOLE           1     22,903         --       --
ACTIVISION INC NEW       EQUITY 4930202        1,757      51,561 SH       SOLE           2     51,561         --       --
ACTIVISION INC NEW       EQUITY 4930202           59       1,724 SH       DEFINED        4         --         --    1,724
ACTIVISION INC NEW       EQUITY 4930202           26         757 SH       DEFINED        5         --         --      757
ACTIVISION, INC.         EQUITY 4930202       26,337     773,019 SH       SOLE           1    773,019         --       --
ACTUANT CORP             EQUITY 00508X203      1,586      50,605 SH       SOLE           1     50,605         --       --
ACTUATE CORP.            EQUITY 00508B102        214      54,803 SH       SOLE           1     54,803         --       --
ACUITY BRANDS INC        EQUITY 00508Y102      1,768      36,781 SH       SOLE           1     36,781         --       --
ACURA PHARMACEUTICALS
   INC                   EQUITY 00509L703         59       7,392 SH       SOLE           1      7,392         --       --
ACXIOM CORP.             EQUITY 5125109        2,445     212,836 SH       SOLE           1    212,836         --       --
ADAMS GOLF INC           EQUITY 6228209            1         250 SH       DEFINED        4         --         --      250
ADAPTEC, INC.            EQUITY 00651F108        351     109,543 SH       SOLE           1    109,543         --       --
ADC TELECOMMUNICATIONS
   INC                   EQUITY 886309         4,075     275,899 SH       SOLE           1    275,899         --       --
ADC TELECOMMUNICATIONS
   INC                   EQUITY 886309         3,100     209,900 SH       SOLE           2    209,900         --       --
ADMINISTAFF INC          EQUITY 7094105           34       1,210 SH       DEFINED        5         --         --    1,210
ADMINISTAFF, INC.        EQUITY 7094105          544      19,523 SH       SOLE           1     19,523         --       --
ADOBE SYS INC            EQUITY 00724F101      8,217     208,605 SH       SOLE           2    208,605         --       --
ADOBE SYS INC            EQUITY 00724F101         11         285 SH       DEFINED        4         --         --      285
ADOBE SYS INC            EQUITY 00724F101         14         356 SH       DEFINED        5         --         --      356
ADOBE SYSTEMS INC.       EQUITY 00724F101     27,379     695,086 SH       SOLE           1    695,086         --       --
ADOLOR CORPORATION       EQUITY 00724X102        271      49,453 SH       SOLE           1     49,453         --       --
ADTRAN, INC.             EQUITY 00738A106      4,327     181,484 SH       SOLE           1    181,484         --       --
ADVANCE AMERICA CASH
   ADVANCE               EQUITY 00739W107        204      40,063 SH       SOLE           1     40,063         --       --
ADVANCE AUTO PARTS       EQUITY 00751Y106      8,636     222,393 SH       SOLE           1    222,393         --       --
ADVANCE AUTO PARTS       EQUITY 00751Y106         75       1,930 SH       SOLE           2      1,930         --       --
ADVANCE AUTO PARTS INC   EQUITY 00751Y106         21         530 SH       DEFINED        4         --         --      530
ADVANCED ANALOGIC
   TECHNOLOGI            EQUITY 00752J108        171      41,344 SH       SOLE           1     41,344         --       --
ADVANCED BATTERY
   TECHNOLOGIES INC      EQUITY 00752H102        217      37,631 SH       SOLE           1     37,631         --       --
ADVANCED ENERGY
   INDUSTRIES            EQUITY 7973100          407      29,684 SH       SOLE           1     29,684         --       --
ADVANCED MEDICAL OPTICS  EQUITY 00763M108      2,658     141,862 SH       SOLE           1    141,862         --       --
ADVANCED MICRO DEVICES   EQUITY 007903AL1        741   1,160,000 SH       SOLE           1  1,160,000         --       --
ADVANCED MICRO DEVICES
   INC                   EQUITY 7903107          410      70,264 SH       DEFINED        5         --         --   70,264
ADVANCED MICRO DEVICES,
   INC.                  EQUITY 7903107        4,411     756,688 SH       SOLE           1    756,688         --       --
ADVANTA CORP [B]         EQUITY 7942204          218      34,686 SH       SOLE           1     34,686         --       --
ADVANTAGE ENERGY INCOME
   FD                    EQUITY 00762L101        436      33,887 SH       DEFINED        4         --         --   33,887
ADVANTAGE ENERGY INCOME
   FD                    EQUITY 00762L101         89       6,940 SH       DEFINED        5         --         --    6,940
ADVENT CLAYMORE CV SECS
   & IN                  EQUITY 00764C109         19         850 SH       DEFINED        4         --         --      850





                                                                                
ADVENT CLAYMORE ENH GRW
   & IN                  EQUITY 7.65E+106         25       1,750 SH       DEFINED        5         --         --    1,750
ADVENT SOFTWARE, INC.    EQUITY 7974108        2,060      57,107 SH       SOLE           1     57,107         --       --
ADVISORY BRD CO          EQUITY 00762W107        617      15,686 SH       SOLE           1     15,686         --       --
ADVISORY BRD CO          EQUITY 00762W107        385       9,800 SH       SOLE           2      9,800         --       --
AECOM TECHNOLOGY CORP    EQUITY 00766T100         79       2,438 SH       SOLE           1      2,438         --       --
AEP INDUSTRIES INC       EQUITY 1031103           85       4,907 SH       SOLE           1      4,907         --       --
AERCAP HOLDINGS N V      EQUITY N00985106      1,012      80,100 SH       SOLE           2     80,100         --       --
AEROPOSTALE              EQUITY 7865108        1,465      46,750 SH       SOLE           2     46,750         --       --
AEROPOSTALE              EQUITY 7865108            9         296 SH       DEFINED        4         --         --      296
AEROPOSTALE INC          EQUITY 7865108        6,745     215,289 SH       SOLE           1    215,289         --       --
AEROVIRONMENT INC        EQUITY 8073108          252       9,285 SH       SOLE           1      9,285         --       --
AES CORP                 EQUITY 00130H105         21       1,100 SH       DEFINED        4         --         --    1,100
AES DRAX ENERGY LTD      EQUITY 00130H105     10,016     521,387 SH       SOLE           1    521,387         --       --
AES TR III               EQUITY 00808N202         53       1,100 SH       DEFINED        4         --         --    1,100
AES TR III               EQUITY 00808N202        275       5,700 SH       DEFINED        5         --         --    5,700
AETNA INC                EQUITY 00817Y108      4,310     106,341 SH       SOLE           2    106,341         --       --
AETNA INC NEW            EQUITY 00817Y108          9         219 SH       DEFINED        4         --         --      219
AETNA INC NEW            EQUITY 00817Y108         18         447 SH       DEFINED        5         --         --      447
AETNA INC-NEW            EQUITY 00817Y108     15,812     390,133 SH       SOLE           1    390,133         --       --
AFC ENTERPRISES          EQUITY 00104Q107        183      22,854 SH       SOLE           1     22,854         --       --
AFFILIATED COMPUTER
   SERVICES CLASS A      EQUITY 8190100        6,385     119,373 SH       SOLE           1    119,373         --       --
AFFILIATED COMPUTER
   SVCS I                EQUITY 8190100            6         110 SH       SOLE           2        110         --       --
AFFILIATED MANAGERS
   GROUP                 EQUITY 8252108        8,605      95,542 SH       SOLE           1     95,542         --       --
AFFYMAX INC              EQUITY 00826A109        151       9,495 SH       SOLE           1      9,495         --       --
AFFYMETRIX INC           EQUITY 00826T108      2,299     223,383 SH       SOLE           1    223,383         --       --
AFLAC INC                EQUITY 1055102          153       2,430 SH       SOLE           2      2,430         --       --
AFLAC INC                EQUITY 1055102           25         400 SH       DEFINED        4         --         --      400
AFLAC INC                EQUITY 1055102          331       5,267 SH       DEFINED        5         --         --    5,267
AFLAC, INC.              EQUITY 1055102       31,075     494,831 SH       SOLE           1    494,831         --       --
AGCO CORP                EQUITY 1084102          155       2,950 SH       SOLE           2      2,950         --       --
AGCO CORP.               EQUITY 1084102       11,235     214,366 SH       SOLE           1    214,366         --       --
AGFEED INDS INC          EQUITY 00846L101        374      25,000 SH       SOLE           2     25,000         --       --
AGFEED INDUSTRIES INC    EQUITY 00846L101        269      17,981 SH       SOLE           1     17,981         --       --
AGILENT TECHNOLOGIES INC EQUITY 00846U101      4,596     129,309 SH       SOLE           2    129,309         --       --
AGILENT TECHNOLOGIES INC EQUITY 00846U101          3          76 SH       DEFINED        4         --         --       76
AGILENT TECHNOLOGIES INC EQUITY 00846U101         14         400 SH       DEFINED        5         --         --      400
AGILENT TECHNOLOGIES
   INC.                  EQUITY 00846U101      7,397     208,118 SH       SOLE           1    208,118         --       --
AGILYSYS INC             EQUITY 00847J105        233      20,564 SH       SOLE           1     20,564         --       --
AGL RES INC              EQUITY 1204106        7,985     230,900 SH       SOLE           2    230,900         --       --
AGL RES INC              EQUITY 1204106           24         700 SH       DEFINED        4         --         --      700
AGL RES INC              EQUITY 1204106            3         100 SH       DEFINED        5         --         --      100
AGL RESOURCES, INC.      EQUITY 1204106        6,210     179,586 SH       SOLE           1    179,586         --       --
AGNICO EAGLE MINES LTD   EQUITY 8474108        1,487      20,000 SH       SOLE           2     20,000         --       --
AGNICO EAGLE MINES LTD   EQUITY 8474108           67         905 SH       DEFINED        5         --         --      905
AGNICO EAGLE MINES LTD
   COM (F)               EQUITY 8474108        8,917     119,900 SH       SOLE           3      54300         --    65600
AGNICO-EAGLE MINES       EQUITY 8474108        1,452      19,256 SH       OTHER          1         --     19,256       --
AGREE REALTY CORP        EQUITY 8492100          156       7,063 SH       SOLE           1      7,063         --       --
AGRIA CORP               EQUITY 00850H103         22       5,200 SH       DEFINED        5         --         --    5,200
AGRIUM INC               EQUITY 8916108        2,059      19,054 SH       OTHER          1         --     19,054       --
AGRIUM INC               EQUITY 8916108           70         651 SH       DEFINED        4         --         --      651
AH BELO CORP             EQUITY 1282102          106      18,551 SH       SOLE           1     18,551         --       --
AIR METHODS CORP         EQUITY 9128307          243       9,720 SH       SOLE           1      9,720         --       --





                                                                                
AIR METHODS CORP         EQUITY 9128307        6,053     242,100 SH       SOLE           2    242,100         --       --
AIR PRODS & CHEMS INC    EQUITY 9158106          371       3,756 SH       DEFINED        4         --         --    3,756
AIR PRODS & CHEMS INC    EQUITY 9158106          834       8,433 SH       DEFINED        5         --         --    8,433
AIR PRODS + CHEMS INC    EQUITY 9158106           24         240 SH       SOLE           2        240         --       --
AIR PRODUCTS AND
   CHEMICALS INC         EQUITY 9158106       77,593     784,873 SH       SOLE           1    784,873         --       --
AIRGAS, INC.             EQUITY 9363102       11,281     193,206 SH       SOLE           1    193,206         --       --
AIRSPAN NETWORKS INC     EQUITY 00950H102          4       5,000 SH       DEFINED        4         --         --    5,000
AIRTRAN HLDGS INC        EQUITY 00949P108          5       2,280 SH       DEFINED        5         --         --    2,280
AIRTRAN HOLDINGS, INC.   EQUITY 00949P108        757     370,954 SH       SOLE           1    370,954         --       --
AIRVANA INC              EQUITY 00950V101        117      21,837 SH       SOLE           1     21,837         --       --
AK STEEL CORP.           EQUITY 1547108        3,428      49,675 SH       SOLE           1     49,675         --       --
AK STL HLDG CORP         EQUITY 1547108          166       2,400 SH       SOLE           2      2,400         --       --
AK STL HLDG CORP         EQUITY 1547108            5          79 SH       DEFINED        4         --         --       79
AKAMAI  TECHNOLOGIES
   INC.                  EQUITY 00971T101      2,763      79,427 SH       SOLE           1     79,427         --       --
AKAMAI TECHNOLOGIES COM  EQUITY 00971T101      7,786     223,800 SH       SOLE           3      98700         --   125100
AKAMAI TECHNOLOGIES INC  EQUITY 00971T101      5,570     160,091 SH       SOLE           2    160,091         --       --
AKAMAI TECHNOLOGIES INC  EQUITY 00971T101          3          94 SH       DEFINED        5         --         --       94
AKEENA SOLAR INC         EQUITY 9720103          106      18,927 SH       SOLE           1     18,927         --       --
AKORN INC                EQUITY 9728106          171      51,647 SH       SOLE           1     51,647         --       --
ALAMO GROUP INC          EQUITY 11311107         115       5,608 SH       SOLE           1      5,608         --       --
ALASKA AIR GROUP, INC.   EQUITY 11659109       1,791     116,786 SH       SOLE           1    116,786         --       --
ALASKA COMM. SYS.
   HLDGS., INC.          EQUITY 01167P101        468      39,233 SH       SOLE           1     39,233         --       --
ALASKA COMMUNICATIONS
   SYS GR                EQUITY 01167P101         12       1,000 SH       DEFINED        4         --         --    1,000
ALBANY INTERNATIONAL
   CORP. CLASS A         EQUITY 12348108         780      26,887 SH       SOLE           1     26,887         --       --
ALBANY MOLECULAR         EQUITY 12423109         281      21,209 SH       SOLE           1     21,209         --       --
ALBEMARLE CORP.          EQUITY 12653101       7,084     177,505 SH       SOLE           1    177,505         --       --
ALBERTO CULVER CO NEW    EQUITY 13078100           5         200 SH       DEFINED        5         --         --      200
ALBERTO-CULVER CO        EQUITY 13078100       5,332     202,988 SH       SOLE           1    202,988         --       --
ALCATEL-LUCENT           EQUITY 13904305           2         270 SH       DEFINED        4         --         --      270
ALCATEL-LUCENT           EQUITY 13904305          18       2,948 SH       DEFINED        5         --         --    2,948
ALCOA INC                EQUITY 13817101       4,518     126,827 SH       SOLE           2    126,827         --       --
ALCOA INC                EQUITY 13817101          32         886 SH       DEFINED        4         --         --      886
ALCOA INC                EQUITY 13817101          68       1,912 SH       DEFINED        5         --         --    1,912
ALCOA, INC.              EQUITY 13817101      17,830     500,551 SH       SOLE           1    500,551         --       --
ALCON INC                EQUITY H01301102          5          30 SH       DEFINED        4         --         --       30
ALCON INC                EQUITY H01301102         16         100 SH       DEFINED        5         --         --      100
ALESCO FINL INC          EQUITY 14485106          27      13,400 SH       DEFINED        5         --         --   13,400
ALEXANDER & BALDWIN,
   INC.                  EQUITY 14482103       4,412      96,868 SH       SOLE           1     96,868         --       --
ALEXANDRIA REAL ESTATE
   EQ IN                 EQUITY 15271109           2          21 SH       DEFINED        5         --         --       21
ALEXANDRIA REAL ESTATE
   EQUITIE               EQUITY 15271109       7,326      75,263 SH       SOLE           1     75,263         --       --
ALEXION

   PHARMACEUTICLAS, INC. EQUITY 15351109       2,523      34,804 SH       SOLE           1     34,804         --       --
ALEXZA PHARMACEUTICALS
   INC                   EQUITY 15384100          85      21,600 SH       SOLE           1     21,600         --       --
ALICO INC                EQUITY 16230104         113       3,246 SH       SOLE           1      3,246         --       --
ALIGN TECHNOLOGY INC     EQUITY 16255101         589      56,152 SH       SOLE           1     56,152         --       --
ALIGN TECHNOLOGY INC     EQUITY 16255101           9         900 SH       DEFINED        5         --         --      900
ALKERMES INC             EQUITY 01642T108      1,070      86,559 SH       SOLE           1     86,559         --       --
ALLEGHANY CORP           EQUITY 17175100          56         169 SH       SOLE           1        169         --       --
ALLEGHENY ENERGY INC     EQUITY 17361106       6,390     127,517 SH       SOLE           1    127,517         --       --
ALLEGHENY ENERGY INC     EQUITY 17361106          10         191 SH       SOLE           2        191         --       --
ALLEGHENY ENERGY INC     EQUITY 17361106           6         114 SH       DEFINED        4         --         --      114
ALLEGHENY ENERGY INC     EQUITY 17361106          15         300 SH       DEFINED        5         --         --      300
ALLEGHENY TECHNOLOGIES
   INC                   EQUITY 01741R102      4,839      81,627 SH       SOLE           1     81,627         --       --





                                                                                
ALLEGHENY TECHNOLOGIES
   INC                   EQUITY 01741R102          7         115 SH       SOLE           2        115         --       --
ALLEGIANT TRAVEL CO      EQUITY 01748X102        230      12,369 SH       SOLE           1     12,369         --       --
ALLERGAN INC             EQUITY 18490102          18         350 SH       SOLE           2        350         --       --
ALLERGAN INC             EQUITY 18490102           3          55 SH       DEFINED        5         --         --       55
ALLERGAN, INC.           EQUITY 18490102      18,071     347,178 SH       SOLE           1    347,178         --       --
ALLETE INC               EQUITY 18522300          13         300 SH       DEFINED        4         --         --      300
ALLETE INC.              EQUITY 18522300         996      23,719 SH       SOLE           1     23,719         --       --
ALLIANCE DATA SYSTEMS    EQUITY 18581108      10,463     185,025 SH       SOLE           1    185,025         --       --
ALLIANCE DATA SYSTEMS
   CORP                  EQUITY 18581108      30,147     533,100 SH       SOLE           2    533,100         --       --
ALLIANCE IMAGING INC     EQUITY 18606202         200      23,115 SH       SOLE           1     23,115         --       --
ALLIANCE ONE
   INTERNATIONAL I       EQUITY 18772103         448      87,721 SH       SOLE           1     87,721         --       --
ALLIANCE ONE INTL INC    EQUITY 18772103          15       3,000 SH       DEFINED        4         --         --    3,000
ALLIANCE RES PARTNER L P EQUITY 01877R108         17         300 SH       DEFINED        4         --         --      300
ALLIANCE RES PARTNER L P EQUITY 01877R108        524       9,404 SH       DEFINED        5         --         --    9,404
ALLIANCEBERNSTEIN GBL
   HGH IN                EQUITY 01879R106         70       5,450 SH       DEFINED        4         --         --    5,450
ALLIANCEBERNSTEIN GBL
   HGH IN                EQUITY 01879R106         16       1,236 SH       DEFINED        5         --         --    1,236
ALLIANCEBERNSTEIN
   HOLDING LP            EQUITY 01881G106        241       4,414 SH       DEFINED        5         --         --    4,414
ALLIANCEBERNSTEIN
   INCOME FUN            EQUITY 1.881E+104       701      86,076 SH       DEFINED        4         --         --   86,076
ALLIANT ENERGY CORP      EQUITY 18802108           9         250 SH       DEFINED        4         --         --      250
ALLIANT ENERGY CORP      EQUITY 18802108          42       1,225 SH       DEFINED        5         --         --    1,225
ALLIANT ENERGY CORP.     EQUITY 18802108      20,961     611,829 SH       SOLE           1    611,829         --       --
ALLIANT TECHSYSTEMS INC  EQUITY 18804104       7,834      77,046 SH       SOLE           1     77,046         --       --
ALLIANT TECHSYSTEMS INC  EQUITY 18804104          17         169 SH       DEFINED        5         --         --      169
ALLIANZ SE               EQUITY 18805101           5         290 SH       DEFINED        4         --         --      290
ALLIANZ SE               EQUITY 18805101           1          61 SH       DEFINED        5         --         --       61
ALLIED CAP CORP NEW      EQUITY 01903Q108        129       9,312 SH       DEFINED        4         --         --    9,312
ALLIED CAP CORP NEW      EQUITY 01903Q108        611      44,019 SH       DEFINED        5         --         --   44,019
ALLIED CAPITAL CORP      EQUITY 01903Q108         78       5,622 SH       SOLE           1      5,622         --       --
ALLIED HEALTHCARE INTL
   INC                   EQUITY 01923A109        991     498,044 SH       SOLE           1    498,044         --       --
ALLIED IRISH BKS P L C   EQUITY 19228402          44       1,430 SH       DEFINED        5         --         --    1,430
ALLIED NEVADA GOLD CORP  EQUITY 19344100         240      40,781 SH       SOLE           1     40,781         --       --
ALLIED WASTE INDUSTRIES
   IN                    EQUITY 19589308           5         384 SH       SOLE           2        384         --       --
ALLIED WASTE
   INDUSTRIES, INC.      EQUITY 19589308       4,672     370,243 SH       SOLE           1    370,243         --       --
ALLIS-CHALMERS ENERGY
   INC                   EQUITY 19645506         452      25,380 SH       SOLE           1     25,380         --       --
ALLOS THERAPEUTICS INC   EQUITY 19777101         389      56,275 SH       SOLE           1     56,275         --       --
ALLOS THERAPEUTICS INC   EQUITY 19777101          14       2,000 SH       DEFINED        4         --         --    2,000
ALLSCRIPTS HEALTHCARE
   SOLUTION              EQUITY 01988P108        641      51,685 SH       SOLE           1     51,685         --       --
ALLSTATE CORP            EQUITY 20002101       5,964     130,826 SH       SOLE           2    130,826         --       --
ALLSTATE CORP            EQUITY 20002101          54       1,174 SH       DEFINED        4         --         --    1,174
ALLSTATE CORP            EQUITY 20002101         178       3,911 SH       DEFINED        5         --         --    3,911
ALLSTATE CORP.           EQUITY 20002101      37,331     818,833 SH       SOLE           1    818,833         --       --
ALMOST FAMILY INC        EQUITY 20409108         153       5,766 SH       SOLE           1      5,766         --       --
ALMOST FAMILY INC        EQUITY 20409108         386      14,500 SH       SOLE           2     14,500         --       --
ALMOST FAMILY INC COM    EQUITY 20409108         952      35,800 SH       SOLE           3      35800         --       --
ALNYLAM PHARMACEUTICALS
   INC                   EQUITY 02043Q107        861      32,222 SH       SOLE           1     32,222         --       --
ALON USA ENERGY INC      EQUITY 20520102         117       9,795 SH       SOLE           1      9,795         --       --
ALPHA NATURAL RESOURCES
   INC                   EQUITY 02076X102        169       1,618 SH       SOLE           1      1,618         --       --
ALPHA NATURAL RESOURCES
   INC                   EQUITY 02076X102      1,466      14,056 SH       DEFINED        4         --         --   14,056
ALPHA NATURAL RESOURCES
   INC                   EQUITY 02076X102         21         200 SH       DEFINED        5         --         --      200
ALPHARMA INC. CLASS A    EQUITY 20813101         904      40,113 SH       SOLE           1     40,113         --       --
ALPHATEC HOLDINGS INC    EQUITY 02081G102         92      22,587 SH       SOLE           1     22,587         --       --
ALPINE GLOBAL DYNAMIC
   DIVD F                EQUITY 2.082E+109        15       1,000 SH       DEFINED        4         --         --    1,000





                                                                                
ALPINE GLOBAL PREMIER
   PPTYS                 EQUITY 02083A103        585      53,909 SH       DEFINED        4         --         --   53,909
ALPINE GLOBAL PREMIER
   PPTYS                 EQUITY 02083A103         11       1,000 SH       DEFINED        5         --         --    1,000
ALPINE TOTAL DYNAMIC
   DIVID F               EQUITY 21060108          15       1,025 SH       DEFINED        4         --         --    1,025
ALPINE TOTAL DYNAMIC
   DIVID F               EQUITY 21060108          51       3,450 SH       DEFINED        5         --         --    3,450
ALTERA CORP              EQUITY 21441100         309      14,931 SH       SOLE           2     14,931         --       --
ALTERA CORP.             EQUITY 21441100       3,110     150,236 SH       SOLE           1    150,236         --       --
ALTRA HOLDINGS INC       EQUITY 02208R106        402      23,921 SH       SOLE           1     23,921         --       --
ALTRIA GROUP INC         EQUITY 02209S103     26,184   1,273,536 SH       SOLE           1  1,273,536         --       --
ALTRIA GROUP INC         EQUITY 02209S103      9,278     451,260 SH       SOLE           2    451,260         --       --
ALTRIA GROUP INC         EQUITY 02209S103        132       6,432 SH       DEFINED        4         --         --    6,432
ALTRIA GROUP INC         EQUITY 02209S103        181       8,819 SH       DEFINED        5         --         --    8,819
ALUMINUM CORP CHINA LTD  EQUITY 22276109          60       2,100 SH       DEFINED        5         --         --    2,100
ALVARION LTD             EQUITY M0861T100          2         300 SH       DEFINED        5         --         --      300
ALZA CORP                EQUITY 02261WAB5          3           3 PRN      DEFINED        4         --         --        3
AMAG PHARMACEUTICALS INC EQUITY 00163U106        525      15,395 SH       SOLE           1     15,395         --       --
AMAZON COM INC           EQUITY 23135106          26         351 SH       SOLE           2        351         --       --
AMAZON COM INC           EQUITY 23135106           5          67 SH       DEFINED        4         --         --       67
AMAZON COM INC           EQUITY 23135106          24         326 SH       DEFINED        5         --         --      326
AMAZON.COM, INC.         EQUITY 23135106      11,318     154,347 SH       SOLE           1    154,347         --       --
AMB PROPERTY CORP        EQUITY 00163T109     22,805     452,664 SH       SOLE           1    452,664         --       --
AMBAC FINANCIAL GROUP
   INC.                  EQUITY 23139108         348     259,839 SH       SOLE           1    259,839         --       --
AMBAC FINL GROUP INC     EQUITY 23139108          97      72,625 SH       DEFINED        5         --         --   72,625
AMBASSADORS GROUP INC    EQUITY 23177108         258      17,290 SH       SOLE           1     17,290         --       --
AMCOL INTERNATIONAL
   CORP.                 EQUITY 02341W103        665      23,363 SH       SOLE           1     23,363         --       --
AMCOMP INC               EQUITY 02342J101        111      11,387 SH       SOLE           1     11,387         --       --
AMCORE FINANCIAL, INC.   EQUITY 23912108         101      17,825 SH       SOLE           1     17,825         --       --
AMDOCS LTD               EQUITY G02602103      2,062      70,100 SH       SOLE           2     70,100         --       --
AMDOCS LTD               EQUITY G02602103          6         217 SH       DEFINED        4         --         --      217
AMDOCS LTD               EQUITY G02602103          3         100 SH       DEFINED        5         --         --      100
AMEDISYS INC             EQUITY 23436108       1,210      24,001 SH       SOLE           1     24,001         --       --
AMEDISYS INC             EQUITY 23436108         761      15,100 SH       SOLE           2     15,100         --       --
AMEDISYS INC             EQUITY 23436108           5         100 SH       DEFINED        5         --         --      100
AMERCO, INC.             EQUITY 23586100         405       8,503 SH       SOLE           1      8,503         --       --
AMEREN CORP              EQUITY 23608102          10         238 SH       SOLE           2        238         --       --
AMEREN CORP              EQUITY 23608102           1          32 SH       DEFINED        4         --         --       32
AMEREN CORP              EQUITY 23608102          59       1,397 SH       DEFINED        5         --         --    1,397
AMEREN CORP.             EQUITY 23608102       6,437     152,419 SH       SOLE           1    152,419         --       --
AMERICA FIRST TAX EX
   IVS L P               EQUITY 02364V107          2         300 SH       DEFINED        4         --         --      300
AMERICA MOVIL SAB DE CV  EQUITY 02364W105         24         447 SH       DEFINED        4         --         --      447
AMERICA MOVIL SAB DE CV  EQUITY 02364W105        443       8,399 SH       DEFINED        5         --         --    8,399
AMERICA MOVIL SAB DE CV  EQUITY 02364W204        236       4,500 SH       DEFINED        5         --         --    4,500
AMERICAN APPAREL INC     EQUITY 23850100         204      30,679 SH       SOLE           1     30,679         --       --
AMERICAN APPAREL INC     EQUITY 23850100       1,113     167,400 SH       SOLE           2    167,400         --       --
AMERICAN AXLE & MFG
   HOLDINGS              EQUITY 24061103         333      41,723 SH       SOLE           1     41,723         --       --
AMERICAN CAMPUS
   COMMUNITIES INC       EQUITY 24835100       1,006      36,118 SH       SOLE           1     36,118         --       --
AMERICAN CAP STRATEGIES
   LT                    EQUITY 24937104           5         231 SH       SOLE           2        231         --       --
AMERICAN CAP.
   STRATEGIES, INC.      EQUITY 24937104       2,128      89,504 SH       SOLE           1     89,504         --       --
AMERICAN CAPITAL AGENCY
   CORP                  EQUITY 02503X105        151       9,053 SH       SOLE           1      9,053         --       --
AMERICAN CAPITAL
   STRATEGIES            EQUITY 24937104         678      28,510 SH       DEFINED        4         --         --   28,510
AMERICAN CAPITAL
   STRATEGIES            EQUITY 24937104          66       2,780 SH       DEFINED        5         --         --    2,780
AMERICAN CMNTY
   BANCSHARES IN         EQUITY 02520W106         18       2,795 SH       DEFINED        5         --         --    2,795
AMERICAN COMMERCIAL
   LINES INC             EQUITY 25195207         354      32,349 SH       SOLE           1     32,349         --       --





                                                                                
AMERICAN DAIRY INC       EQUITY 25334103          51       6,433 SH       SOLE           1      6,433         --       --
AMERICAN EAGLE
   OUTFITTERS            EQUITY 2.553E+109     6,551     480,657 SH       SOLE           1    480,657         --       --
AMERICAN EAGLE
   OUTFITTERS            EQUITY 2.553E+109    20,951   1,537,100 SH       SOLE           2  1,537,100         --       --
AMERICAN EAGLE
   OUTFITTERS NE         EQUITY 2.553E+109         8         600 SH       DEFINED        5         --         --      600
AMERICAN ECOLOGY CORP    EQUITY 25533407       1,540      52,143 SH       SOLE           1     52,143         --       --
AMERICAN ECOLOGY CORP
   COM NEW               EQUITY 25533407       2,085      70,600 SH       SOLE           3      70600         --       --
AMERICAN ELEC PWR INC    EQUITY 25537101         885      21,987 SH       SOLE           2     21,987         --       --
AMERICAN ELEC PWR INC    EQUITY 25537101          60       1,490 SH       DEFINED        4         --         --    1,490
AMERICAN ELEC PWR INC    EQUITY 25537101         246       6,109 SH       DEFINED        5         --         --    6,109
AMERICAN ELECTRIC
   POWER, INC.           EQUITY 25537101      10,632     264,275 SH       SOLE           1    264,275         --       --
AMERICAN EQUITY INVT
   LIFE HL               EQUITY 25676206         403      49,465 SH       SOLE           1     49,465         --       --
AMERICAN EXPRESS CO      EQUITY 25816109       4,043     107,317 SH       SOLE           2    107,317         --       --
AMERICAN EXPRESS CO      EQUITY 25816109           2          58 SH       DEFINED        4         --         --       58
AMERICAN EXPRESS CO      EQUITY 25816109         199       5,285 SH       DEFINED        5         --         --    5,285
AMERICAN EXPRESS CO.     EQUITY 25816109      30,631     813,129 SH       SOLE           1    813,129         --       --
AMERICAN FINANCIAL
   GROUP, INC.           EQUITY 25932104       4,451     166,407 SH       SOLE           1    166,407         --       --
AMERICAN FIRST MORTGAGE
   INVES                 EQUITY 55272X102      6,732   1,032,523 SH       SOLE           1  1,032,523         --       --
AMERICAN GREETINGS
   CORP. CLASS A         EQUITY 26375105       1,938     157,040 SH       SOLE           1    157,040         --       --
AMERICAN INTERNATIONAL
   GROUP                 EQUITY 26874107      84,433   3,190,973 SH       SOLE           1  3,190,973         --       --
AMERICAN INTL GROUP INC  EQUITY 26874107          81       3,057 SH       SOLE           2      3,057         --       --
AMERICAN INTL GROUP INC  EQUITY 26874107          72       2,727 SH       DEFINED        4         --         --    2,727
AMERICAN INTL GROUP INC  EQUITY 26874107          88       3,310 SH       DEFINED        5         --         --    3,310
AMERICAN MEDICAL
   SYSTEMS HOLDI         EQUITY 02744M108        985      65,906 SH       SOLE           1     65,906         --       --
AMERICAN NATIONAL IN     EQUITY 28591105          51         521 SH       SOLE           1        521         --       --
AMERICAN OIL & GAS INC   EQUITY 28723104         130      33,229 SH       SOLE           1     33,229         --       --
AMERICAN ORIENTAL
   BIOENGINEERING INC    EQUITY 28731107         552      55,909 SH       SOLE           1     55,909         --       --
AMERICAN PHYSICIANS
   CAPITAL IN            EQUITY 28884104         368       7,599 SH       SOLE           1      7,599         --       --
AMERICAN PUBLIC ED INC
   COM                   EQUITY 02913V103      1,484      38,000 SH       SOLE           3      38000         --       --
AMERICAN PUBLIC
   EDUCATION INC         EQUITY 02913V103      1,170      29,979 SH       SOLE           1     29,979         --       --
AMERICAN RAILCAR
   INDUSTRIES INC        EQUITY 02916P103        142       8,452 SH       SOLE           1      8,452         --       --
AMERICAN REPROGRAPHICS
   CO                    EQUITY 29263100         549      32,981 SH       SOLE           1     32,981         --       --
AMERICAN REPROGRAPHICS
   CO                    EQUITY 29263100           2         100 SH       DEFINED        4         --         --      100
AMERICAN REPROGRAPHICS
   CO                    EQUITY 29263100          17       1,000 SH       DEFINED        5         --         --    1,000
AMERICAN SCIENCE &
   ENGINEERI             EQUITY 29429107         424       8,226 SH       SOLE           1      8,226         --       --
AMERICAN SOFTWARE INC    EQUITY 29683109         115      20,407 SH       SOLE           1     20,407         --       --
AMERICAN STATES WATER
   CO.                   EQUITY 29899101         546      15,622 SH       SOLE           1     15,622         --       --
AMERICAN STRATEGIC
   INCOME II             EQUITY 03009T101         35       3,500 SH       DEFINED        4         --         --    3,500
AMERICAN STS WTR CO      EQUITY 29899101          28         800 SH       DEFINED        5         --         --      800
AMERICAN SUPERCONDUCTOR
   CORP                  EQUITY 30111108       1,364      38,047 SH       SOLE           1     38,047         --       --
AMERICAN TOWER CORP      EQUITY 29912201       9,714     229,908 SH       SOLE           1    229,908         --       --
AMERICAN TOWER CORP      EQUITY 29912201          19         451 SH       SOLE           2        451         --       --
AMERICAN VANGUARD CORP   EQUITY 30371108         210      17,102 SH       SOLE           1     17,102         --       --
AMERICAN WATER WORKS CO
   INC                   EQUITY 30420103          46       2,094 SH       SOLE           1      2,094         --       --
AMERICAN WOODMARK CORP.  EQUITY 30506109         202       9,583 SH       SOLE           1      9,583         --       --
AMERICA'S CAR-MART INC   EQUITY 03062T105        163       9,093 SH       SOLE           1      9,093         --       --
AMERICREDIT CORP.        EQUITY 03060R101      2,328     270,117 SH       SOLE           1    270,117         --       --
AMERIGAS PARTNERS L P    EQUITY 30975106          11         350 SH       DEFINED        4         --         --      350
AMERIGAS PARTNERS L P    EQUITY 30975106          20         628 SH       DEFINED        5         --         --      628
AMERIGON INC             EQUITY 03070L300        143      20,053 SH       SOLE           1     20,053         --       --
AMERIGROUP CORP          EQUITY 03073T102      1,009      48,500 SH       SOLE           1     48,500         --       --
AMERIGROUP CORP          EQUITY 03073T102         97       4,650 SH       SOLE           2      4,650         --       --
AMERIPRISE FINANCIAL INC EQUITY 03076C106     14,213     349,461 SH       SOLE           1    349,461         --       --





                                                                                
AMERIPRISE FINL INC      EQUITY 03076C106      4,209     103,483 SH       SOLE           2    103,483         --       --
AMERIPRISE FINL INC      EQUITY 03076C106         23         568 SH       DEFINED        5         --         --      568
AMERIS BANCORP           EQUITY 03076K108        107      12,289 SH       SOLE           1     12,289         --       --
AMERISAFE INC            EQUITY 03071H100        272      17,051 SH       SOLE           1     17,051         --       --
AMERISOURCEBERGEN CO     EQUITY 3.073E+108     6,895     172,419 SH       SOLE           1    172,419         --       --
AMERISOURCEBERGEN CORP   EQUITY 3.073E+108     4,210     105,283 SH       SOLE           2    105,283         --       --
AMERISTAR CASINOS        EQUITY 03070Q101        318      23,012 SH       SOLE           1     23,012         --       --
AMERITYRE CORP           EQUITY 03073V107          1       1,000 SH       DEFINED        4         --         --    1,000
AMERON, INC.             EQUITY 30710107         996       8,304 SH       SOLE           1      8,304         --       --
AMES NATIONAL CORP       EQUITY 31001100          98       5,834 SH       SOLE           1      5,834         --       --
AMETEK INC NEW           EQUITY 31100100       3,672      77,755 SH       SOLE           2     77,755         --       --
AMETEK, INC.             EQUITY 31100100      11,760     249,056 SH       SOLE           1    249,056         --       --
AMGEN INC                EQUITY 31162100       1,050      22,263 SH       SOLE           2     22,263         --       --
AMGEN INC                EQUITY 31162100         349       7,407 SH       DEFINED        4         --         --    7,407
AMGEN INC                EQUITY 31162100         403       8,551 SH       DEFINED        5         --         --    8,551
AMGEN, INC.              EQUITY 31162100      39,562     838,896 SH       SOLE           1    838,896         --       --
AMICUS THERAPEUTICS INC  EQUITY 03152W109         47       4,427 SH       SOLE           1      4,427         --       --
AMKOR TECHNOLOGY INC     EQUITY 31652100         766     679,350 SH       SOLE           2    679,350         --       --
AMKOR TECHNOLOGY INC     EQUITY 31652100          21       2,000 SH       DEFINED        5         --         --    2,000
AMKOR TECHNOLOGY, INC    EQUITY 31652100       1,028      98,741 SH       SOLE           1     98,741         --       --
AMN HEALTHCARE SERVICE   EQUITY 1744101          519      30,648 SH       SOLE           1     30,648         --       --
AMPAL AMERICAN ISRAEL    EQUITY 32015109          80      17,824 SH       SOLE           1     17,824         --       --
AMPCO-PITTSBURGH CORP    EQUITY 32037103         333       7,495 SH       SOLE           1      7,495         --       --
AMPHENOL CORP NEW        EQUITY 32095101          49       1,085 SH       DEFINED        5         --         --    1,085
AMPHENOL CORP. CLASS A   EQUITY 32095101      18,371     409,336 SH       SOLE           1    409,336         --       --
AMR CORP                 EQUITY 1765106           49       9,532 SH       DEFINED        5         --         --    9,532
AMR CORP.                EQUITY 1765106           96      18,753 SH       SOLE           1     18,753         --       --
AMREP CORP               EQUITY 32159105          74       1,564 SH       SOLE           1      1,564         --       --
AMSURG CORP CL A         EQUITY 03232P405        694      28,512 SH       SOLE           1     28,512         --       --
AMTRUST FINANCIAL
   SERVICES INC          EQUITY 32359309         181      14,346 SH       SOLE           1     14,346         --       --
AMYLIN PHARMACEUTICALS
   INC                   EQUITY 32346108         229       9,000 SH       SOLE           2      9,000         --       --
AMYLIN PHARMACEUTICALS
   INC                   EQUITY 32346108          20         800 SH       DEFINED        5         --         --      800
AMYLIN PHARMACEUTICALS,
   INC.                  EQUITY 32346108         262      10,312 SH       SOLE           1     10,312         --       --
ANADARKO PETE CORP       EQUITY 32511107         278      92,532 SH       SOLE           2     92,532         --       --
ANADARKO PETE CORP       EQUITY 32511107          75       1,003 SH       DEFINED        4         --         --    1,003
ANADARKO PETE CORP       EQUITY 32511107          38         511 SH       DEFINED        5         --         --      511
ANADARKO PETROLEUM CORP. EQUITY 32511107      35,483     474,122 SH       SOLE           1    474,122         --       --
ANADIGICS INC            EQUITY 32515108         558      56,687 SH       SOLE           1     56,687         --       --
ANADIGICS INC            EQUITY 32515108          10       1,000 SH       DEFINED        5         --         --    1,000
ANALOG DEVICES INC       EQUITY 32654105          10         330 SH       SOLE           2        330         --       --
ANALOG DEVICES INC       EQUITY 32654105           4         130 SH       DEFINED        5         --         --      130
ANALOG DEVICES, INC.     EQUITY 32654105      13,348     420,137 SH       SOLE           1    420,137         --       --
ANALOGIC CORP.           EQUITY 32657207         765      12,134 SH       SOLE           1     12,134         --       --
ANAREN INC               EQUITY 32744104         140      13,237 SH       SOLE           1     13,237         --       --
ANCHOR BANCORP
   WISCONSIN, INC.       EQUITY 32839102         121      17,243 SH       SOLE           1     17,243         --       --
ANDERSONS INC/THE        EQUITY 34164103         668      16,397 SH       SOLE           1     16,397         --       --
ANGELICA CORP            EQUITY 34663104         145       6,797 SH       SOLE           1      6,797         --       --
ANGIODYNAMICS INC        EQUITY 03475V101        298      21,905 SH       SOLE           1     21,905         --       --
ANGLO AMERN PLC          EQUITY 03485P201         68       1,928 SH       DEFINED        4         --         --    1,928
ANGLO AMERN PLC          EQUITY 03485P201          6         170 SH       DEFINED        5         --         --      170
ANHEUSER BUSCH COS INC   EQUITY 35229103      10,168     163,686 SH       SOLE           2    163,686         --       --
ANHEUSER BUSCH COS INC   EQUITY 35229103          49         796 SH       DEFINED        4         --         --      796





                                                                                
ANHEUSER BUSCH COS INC   EQUITY 35229103         280       4,507 SH       DEFINED        5         --         --    4,507
ANHEUSER-BUSCH
   COMPANIES, INC.       EQUITY 35229103      18,140     292,021 SH       SOLE           1    292,021         --       --
ANIMAL HEALTH
   INTERNATIONA          EQUITY 03525N109        662     106,199 SH       SOLE           2    106,199         --       --
ANIXTER INTERNATIONALL,
   INC.                  EQUITY 35290105       1,610      27,055 SH       SOLE           1     27,055         --       --
ANIXTER INTL INC         EQUITY 35290105         244       4,100 SH       SOLE           2      4,100         --       --
ANN TAYLOR STORES CORP.  EQUITY 36115103       3,323     138,680 SH       SOLE           1    138,680         --       --
ANNALY CAP MGMT INC      EQUITY 35710409         230      14,853 SH       DEFINED        5         --         --   14,853
ANNALY CAPITAL
   MANAGEMENT            EQUITY 35710409         161      10,350 SH       SOLE           2     10,350         --       --
ANNALY MTG MGMT INC      EQUITY 35710409       2,314     149,188 SH       SOLE           1    149,188         --       --
ANSOFT CORP              EQUITY 36384105       8,747     240,307 SH       SOLE           1    240,307         --       --
ANSYS INC                EQUITY 03662Q105        636      13,500 SH       SOLE           2     13,500         --       --
ANTHRACITE CAP INC       EQUITY 37023108           7         985 SH       DEFINED        5         --         --      985
ANTHRACITE CAPITAL INC.  EQUITY 37023108       1,579     224,305 SH       SOLE           1    224,305         --       --
ANWORTH MORTGAGE ASSET   EQUITY 37347101         486      74,711 SH       SOLE           1     74,711         --       --
ANWORTH MORTGAGE ASSET
   CP                    EQUITY 37347101           3         520 SH       DEFINED        5         --         --      520
AON CORP                 EQUITY 37389103       1,339      29,140 SH       SOLE           2     29,140         --       --
AON CORP                 EQUITY 37389103          10         224 SH       DEFINED        5         --         --      224
AON CORP.                EQUITY 37389103       7,101     154,564 SH       SOLE           1    154,564         --       --
APACHE CORP              EQUITY 37411105       5,949      42,799 SH       SOLE           2     42,799         --       --
APACHE CORP              EQUITY 37411105          75         543 SH       DEFINED        4         --         --      543
APACHE CORP              EQUITY 37411105         197       1,419 SH       DEFINED        5         --         --    1,419
APACHE CORP.             EQUITY 37411105      62,168     447,254 SH       SOLE           1    447,254         --       --
APARTMENT INVT & MGMT CO EQUITY 03748R101         61       1,800 SH       DEFINED        5         --         --    1,800
APARTMENT INVT + MGMT CO EQUITY 03748R101        147       4,321 SH       SOLE           2      4,321         --       --
APCO ARGENTINA INC       EQUITY 37489101         100       3,467 SH       SOLE           1      3,467         --       --
APOGEE ENTERPRISES INC   EQUITY 37598109         742      45,945 SH       DEFINED        4         --         --   45,945
APOGEE ENTERPRISES, INC. EQUITY 37598109         423      26,196 SH       SOLE           1     26,196         --       --
APOLLO GROUP INC         EQUITY 37604105           7         157 SH       SOLE           2        157         --       --
APOLLO GROUP INC         EQUITY 37604105           7         154 SH       DEFINED        4         --         --      154
APOLLO GROUP INC         EQUITY 37604105         744      16,818 SH       DEFINED        5         --         --   16,818
APOLLO GROUP, INC.
   CLASS A               EQUITY 37604105       8,014     181,058 SH       SOLE           1    181,058         --       --
APOLLO INVESTMENT CORP   EQUITY 03761U106      6,558     457,636 SH       SOLE           1    457,636         --       --
APOLLO INVT CORP         EQUITY 03761U106        184      12,827 SH       DEFINED        4         --         --   12,827
APOLLO INVT CORP         EQUITY 03761U106        529      36,950 SH       DEFINED        5         --         --   36,950
APP PHARMACEUTICALS INC  EQUITY 00202H108         11         666 SH       SOLE           1        666         --       --
APPLE COMPUTER, INC.     EQUITY 37833100     122,588     732,128 SH       SOLE           1    732,128         --       --
APPLE INC                EQUITY 37833100      15,964      95,344 SH       SOLE           2     95,344         --       --
APPLE INC                EQUITY 37833100         909       5,428 SH       DEFINED        4         --         --    5,428
APPLE INC                EQUITY 37833100       1,100       6,568 SH       DEFINED        5         --         --    6,568
APPLERA CORP             EQUITY 38020103           6         192 SH       SOLE           2        192         --       --
APPLERA CORP  APPLIED
   BIOSYSTEM             EQUITY 38020103       9,269     276,847 SH       SOLE           1    276,847         --       --
APPLERA CORP-CELERA
   GROUP                 EQUITY 38020202         823      72,453 SH       SOLE           1     72,453         --       --
APPLIED INDUSTRIAL
   TECH., INC.           EQUITY 03820C105        926      38,316 SH       SOLE           1     38,316         --       --
APPLIED MATERIALS INC    EQUITY 38222105         984      51,541 SH       SOLE           2     51,541         --       --
APPLIED MATERIALS, INC.  EQUITY 38222105      19,622   1,027,888 SH       SOLE           1  1,027,888         --       --
APPLIED MATLS INC        EQUITY 38222105          48       2,538 SH       DEFINED        4         --         --    2,538
APPLIED MATLS INC        EQUITY 38222105         124       6,484 SH       DEFINED        5         --         --    6,484
APPLIED MICRO CIRCUITS
   CORP                  EQUITY 03822W406        502      58,693 SH       SOLE           1     58,693         --       --
APPLIED SIGNAL
   TECHNOLOGY            EQUITY 38237103         156      11,404 SH       SOLE           1     11,404         --       --
APPROACH RESOURCES INC   EQUITY 03834A103        218       8,138 SH       SOLE           1      8,138         --       --
APPROACH RESOURCES INC
   COM                   EQUITY 03834A103      3,175     118,500 SH       SOLE           3     118500         --       --
APRIA HEALTHCARE GROUP,
   INC.                  EQUITY 37933108       2,737     141,138 SH       SOLE           1    141,138         --       --





                                                                                
APTARGROUP, INC.         EQUITY 38336103       6,688     159,425 SH       SOLE           1    159,425         --       --
AQUA AMER INC            EQUITY 03836W103      3,374     211,300 SH       SOLE           2    211,300         --       --
AQUA AMERICA INC         EQUITY 03836W103      5,004     313,328 SH       SOLE           1    313,328         --       --
AQUA AMERICA INC         EQUITY 03836W103         43       2,719 SH       DEFINED        4         --         --    2,719
AQUA AMERICA INC         EQUITY 03836W103         57       3,596 SH       DEFINED        5         --         --    3,596
AQUILA INC               EQUITY 03840P102      4,561   1,209,817 SH       SOLE           1  1,209,817         --       --
AQUILA INC               EQUITY 03840P102          2         500 SH       DEFINED        4         --         --      500
ARAID PHARAMACEUTICLAS,
   INC.                  EQUITY 04033A100        151      62,911 SH       SOLE           1     62,911         --       --
ARBITRON, INC.           EQUITY 03875Q108      1,174      24,708 SH       SOLE           1     24,708         --       --
ARBOR REALTY TRUST INC   EQUITY 38923108         115      12,853 SH       SOLE           1     12,853         --       --
ARBOR RLTY TR INC        EQUITY 38923108           4         500 SH       DEFINED        5         --         --      500
ARCELORMITTAL SA
   LUXEMBOURG            EQUITY 03938L104          4          42 SH       DEFINED        4         --         --       42
ARCH CHEMICALS, INC.     EQUITY 03937R102        747      22,519 SH       SOLE           1     22,519         --       --
ARCH COAL INC            EQUITY 39380100          11         148 SH       DEFINED        4         --         --      148
ARCH COAL INC            EQUITY 39380100         273       3,645 SH       DEFINED        5         --         --    3,645
ARCH COAL, INC.          EQUITY 39380100      25,241     336,417 SH       SOLE           1    336,417         --       --
ARCHER DANIELS MIDLAND
   CO                    EQUITY 39483102       1,257      37,232 SH       SOLE           2     37,232         --       --
ARCHER DANIELS MIDLAND
   CO                    EQUITY 39483102          66       1,956 SH       DEFINED        4         --         --    1,956
ARCHER DANIELS MIDLAND
   CO                    EQUITY 39483102         122       3,600 SH       DEFINED        5         --         --    3,600
ARCHER DANIELS MIDLAND
   CO CALL               EQUITY 39483902          28          20     CALL DEFINED        5         --         --       20
ARCHER DANIELS MIDLAND
   CO.                   EQUITY 39483102      23,094     684,266 SH       SOLE           1    684,266         --       --
ARCSIGHT INC             EQUITY 39666102          55       6,235 SH       SOLE           1      6,235         --       --
ARDEA BIOSCIENCES INC    EQUITY 03969P107        125       9,779 SH       SOLE           1      9,779         --       --
ARDEN GROUP INC          EQUITY 39762109         132       1,039 SH       SOLE           1      1,039         --       --
ARENA PHARMACEUTICALS
   INC                   EQUITY 40047102         347      66,894 SH       SOLE           1     66,894         --       --
ARENA RESOURCES INC      EQUITY 40049108       1,682      31,839 SH       SOLE           1     31,839         --       --
ARES CAP CORP            EQUITY 04010L103        161      15,947 SH       DEFINED        4         --         --   15,947
ARES CAP CORP            EQUITY 04010L103          4         400 SH       DEFINED        5         --         --      400
ARES CAPITAL CORP        EQUITY 04010L103        887      88,010 SH       SOLE           1     88,010         --       --
ARGON ST INC             EQUITY 40149106         294      11,855 SH       SOLE           1     11,855         --       --
ARIBA INC                EQUITY 04033V203      1,139      77,440 SH       SOLE           1     77,440         --       --
ARISTOTLE CORP/THE       EQUITY 40448201           8       1,089 SH       SOLE           1      1,089         --       --
ARKANSAS BEST CORP.      EQUITY 40790107         751      20,507 SH       SOLE           1     20,507         --       --
ARLINGTON TANKERS LTD    EQUITY G04899103        236      10,170 SH       DEFINED        4         --         --   10,170
ARMSTRONG WORLD
   INDUSTRIES INC        EQUITY 04247X102        744      25,459 SH       SOLE           1     25,459         --       --
ARQULE, INC.             EQUITY 4.269E+110       119      36,730 SH       SOLE           1     36,730         --       --
ARRAY BIOPHARMA INC      EQUITY 04269X105        202      43,062 SH       SOLE           1     43,062         --       --
ARRIS GROUP INC          EQUITY 04269Q100        938     111,035 SH       SOLE           1    111,035         --       --
ARRIS GROUP INC          EQUITY 04269Q100        668      79,000 SH       SOLE           2     79,000         --       --
ARROW ELECTRONICS INC    EQUITY 42735100       8,834     287,581 SH       SOLE           1    287,581         --       --
ARROW ELECTRS INC        EQUITY 42735100          10         330 SH       DEFINED        5         --         --      330
ARROW FINANCIAL CORP     EQUITY 42744102         150       8,272 SH       SOLE           1      8,272         --       --
ART TECHNOLOGY GROUP INC EQUITY 04289L107        373     116,659 SH       SOLE           1    116,659         --       --
ARTHROCARE CORP          EQUITY 43136100          12         300 SH       DEFINED        5         --         --      300
ARTHROCARE CORP.         EQUITY 43136100         984      24,121 SH       SOLE           1     24,121         --       --
ARUBA NETWORKS INC       EQUITY 43176106         248      47,367 SH       SOLE           1     47,367         --       --
ARUBA NETWORKS INC       EQUITY 43176106           6       1,200 SH       DEFINED        4         --         --    1,200
ARVINMERITOR, INC        EQUITY 43353101       2,958     237,049 SH       SOLE           1    237,049         --       --
ASBURY AUTOMOTIVE GROUP  EQUITY 43436104         372      28,920 SH       SOLE           1     28,920         --       --
ASCENT SOLAR
   TECHNOLOGIES INC      EQUITY 43635101          70       6,757 SH       SOLE           1      6,757         --       --
ASHFORD HOSPITALITY
   TRUST                 EQUITY 44103109       5,558   1,203,022 SH       SOLE           1  1,203,022         --       --
ASHLAND INC              EQUITY 44209104       1,205      25,009 SH       SOLE           1     25,009         --       --





                                                                                
ASHLAND INC NEW          EQUITY 44209104           3          64 SH       SOLE           2         64         --       --
ASIAINFO HLDGS INC       EQUITY 04518A104        326      27,600 SH       SOLE           2     27,600         --       --
ASIAINFO HOLDINGS INC.   EQUITY 04518A104      5,002     413,172 SH       SOLE           1    413,172         --       --
ASML HOLDING N V         EQUITY N07059186        317      13,000 SH       SOLE           2     13,000         --       --
ASPEN INSURANCE
   HOLDINGS L            EQUITY G05384105        367      15,500 SH       SOLE           2     15,500         --       --
ASPEN INSURANCE
   HOLDINGS LTD          EQUITY G05384105         10         407 SH       DEFINED        5         --         --      407
ASSET ACCEPTANCE CAPITAL EQUITY 04543P100        165      13,513 SH       SOLE           1     13,513         --       --
ASSISTED LIVING
   CONCEPTS INC          EQUITY 04544X102        273      49,695 SH       SOLE           1     49,695         --       --
ASSOCIATED BANC-CORP.    EQUITY 45487105       5,762     298,721 SH       SOLE           1    298,721         --       --
ASSOCIATED ESTATES
   REALTY                EQUITY 45604105         141      13,131 SH       SOLE           1     13,131         --       --
ASSURANT INC             EQUITY 04621X108      2,836      42,996 SH       SOLE           1     42,996         --       --
ASSURANT INC             EQUITY 04621X108      4,727      71,659 SH       SOLE           2     71,659         --       --
ASSURANT INC             EQUITY 04621X108          2          32 SH       DEFINED        4         --         --       32
ASTEC INDS INC COM       EQUITY 46224101         525      16,342 SH       SOLE           1     16,342         --       --
ASTORIA FINANCIAL CORP.  EQUITY 46265104       3,857     192,089 SH       SOLE           1    192,089         --       --
ASTRAZENECA PLC          EQUITY 46353108           1          30 SH       DEFINED        4         --         --       30
ASTRAZENECA PLC          EQUITY 46353108           2          50 SH       DEFINED        5         --         --       50
ASTRONICS CORP           EQUITY 46433108           7         539 SH       DEFINED        5         --         --      539
ASYST TECHNOLOGIES, INC. EQUITY 04648X107        161      45,017 SH       SOLE           1     45,017         --       --
AT&T INC                 EQUITY 00206R102    167,366   4,967,839 SH       SOLE           1  4,967,839         --       --
AT&T INC                 EQUITY 00206R102        826      24,515 SH       DEFINED        4         --         --   24,515
AT&T INC                 EQUITY 00206R102      1,205      35,776 SH       DEFINED        5         --         --   35,776
AT+T INC                 EQUITY 00206R102     29,736   1,120,768 SH       SOLE           2  1,120,768         --       --
ATC TECHNOLOGY CORP      EQUITY 00211W104        448      19,236 SH       SOLE           1     19,236         --       --
ATHENAHEALTH INC         EQUITY 04685W103      4,733     153,855 SH       SOLE           1    153,855         --       --
ATHEROS COMMUNICATIONS   EQUITY 04743P108      1,612      53,744 SH       SOLE           1     53,744         --       --
ATLANTIC TELE-NETWORK
   INC                   EQUITY 49079205         236       8,568 SH       SOLE           1      8,568         --       --
ATLAS AIR WORLDWIDE
   HLDGS IN              EQUITY 49164205           4          86 SH       DEFINED        5         --         --       86
ATLAS AIR WORLDWIDE
   HOLDINGS INC          EQUITY 49164205         595      12,037 SH       SOLE           1     12,037         --       --
ATLAS AMERICA INC        EQUITY 49167109       1,408      31,255 SH       SOLE           1     31,255         --       --
ATLAS ENERGY RESOURCES
   LLC                   EQUITY 49303100          50       1,315 SH       DEFINED        4         --         --    1,315
ATLAS PIPELINE PARTNERS
   LP                    EQUITY 49392103          43       1,090 SH       DEFINED        4         --         --    1,090
ATMEL CORP               EQUITY 49513104           7       2,083 SH       DEFINED        5         --         --    2,083
ATMEL CORP.              EQUITY 49513104       3,625   1,041,687 SH       SOLE           1  1,041,687         --       --
ATMI, INC.               EQUITY 00207R101        812      29,075 SH       SOLE           1     29,075         --       --
ATMOS ENERGY CORP        EQUITY 49560105           6         200 SH       DEFINED        4         --         --      200
ATMOS ENERGY CORP        EQUITY 49560105          17         600 SH       DEFINED        5         --         --      600
ATMOS ENERGY CORP.       EQUITY 49560105          82       2,988 SH       SOLE           1      2,988         --       --
ATP OIL & GAS CORP       EQUITY 00208J108        993      25,168 SH       SOLE           1     25,168         --       --
ATP OIL & GAS CORP       EQUITY 00208J108          8         200 SH       DEFINED        5         --         --      200
ATP OIL + GAS
   CORPORATION           EQUITY 00208J108        489      12,400 SH       SOLE           2     12,400         --       --
ATRION CORP              EQUITY 49904105         130       1,360 SH       SOLE           1      1,360         --       --
ATWOOD OCEANICS INC      EQUITY 50095108         609       4,900 SH       SOLE           2      4,900         --       --
ATWOOD OCEANICS INC      EQUITY 50095108          22         175 SH       DEFINED        5         --         --      175
ATWOOD OCEANICS, INC.    EQUITY 50095108          80         643 SH       SOLE           1        643         --       --
AU OPTRONICS CORP        EQUITY 2255107            1          92 SH       DEFINED        4         --         --       92
AUDIOVOX COPR.           EQUITY 50757103         155      15,797 SH       SOLE           1     15,797         --       --
AUTHENTEC INC            EQUITY 52660107       1,289     123,691 SH       SOLE           1    123,691         --       --
AUTHENTEC INC COM        EQUITY 52660107       1,994     191,400 SH       SOLE           3     191400         --       --
AUTODESK INC             EQUITY 52769106           6         185 SH       DEFINED        4         --         --      185
AUTODESK INC             EQUITY 52769106          30         900 SH       DEFINED        5         --         --      900
AUTODESK INCORPORATED    EQUITY 52769106       2,423      71,655 SH       SOLE           2     71,655         --       --





                                                                                
AUTODESK, INC.           EQUITY 52769106       9,223     272,803 SH       SOLE           1    272,803         --       --
AUTOLIV                  EQUITY 52800109         159       3,400 SH       SOLE           2      3,400         --       --
AUTOLIV INC              EQUITY 52800109          10         204 SH       DEFINED        4         --         --      204
AUTOLIV, INC.            EQUITY 52800109         338       7,256 SH       SOLE           1      7,256         --       --
AUTOMATIC DATA
   PROCESSING            EQUITY 53015103       7,257     173,189 SH       SOLE           2    173,189         --       --
AUTOMATIC DATA
   PROCESSING IN         EQUITY 53015103          12         297 SH       DEFINED        4         --         --      297
AUTOMATIC DATA
   PROCESSING IN         EQUITY 53015103          20         481 SH       DEFINED        5         --         --      481
AUTOMATIC DATA
   PROCESSING INC.       EQUITY 53015103      19,271     459,931 SH       SOLE           1    459,931         --       --
AUTONATION INC           EQUITY 05329W102        586      58,502 SH       SOLE           1     58,502         --       --
AUTONATION INC DEL       EQUITY 05329W102          2         152 SH       SOLE           2        152         --       --
AUTOZONE INC             EQUITY 53332102         169       1,399 SH       SOLE           2      1,399         --       --
AUTOZONE INC             EQUITY 53332102          10          84 SH       DEFINED        5         --         --       84
AUTOZONE, INC.           EQUITY 53332102       9,454      78,123 SH       SOLE           1     78,123         --       --
AUXILIUM
   PHARMACEUTICALS INC   EQUITY 05334D107      2,494      74,175 SH       SOLE           1     74,175         --       --
AVALON PHARMACEUTICALS
   INC                   EQUITY 05346P106        330     277,671 SH       SOLE           1    277,671         --       --
AVALONBAY CMNTYS INC     EQUITY 53484101           8          88 SH       SOLE           2         88         --       --
AVALONBAY COMMUNITIES
   INC                   EQUITY 53484101       3,025      33,928 SH       SOLE           1     33,928         --       --
AVANEX CORP              EQUITY 05348W109        206     182,636 SH       SOLE           1    182,636         --       --
AVANEX CORP              EQUITY 05348W109         10       8,700 SH       DEFINED        5         --         --    8,700
AVATAR HOLDINGS, INC.    EQUITY 53494100         167       5,522 SH       SOLE           1      5,522         --       --
AVENTINE RENEWABLE
   ENERGY HOLDINGS INC   EQUITY 05356X403        117      26,538 SH       SOLE           1     26,538         --       --
AVERY DENNISON CORP      EQUITY 53611109           5         121 SH       SOLE           2        121         --       --
AVERY DENNISON CORP.     EQUITY 53611109       2,062      46,939 SH       SOLE           1     46,939         --       --
AVID TECHNOLOGY, INC.    EQUITY 05367P100        464      27,322 SH       SOLE           1     27,322         --       --
AVIS BUDGET GROUP INC    EQUITY 53774105       3,654     436,546 SH       SOLE           1    436,546         --       --
AVISTA CORP              EQUITY 05379B107      1,031      48,058 SH       SOLE           1     48,058         --       --
AVISTA CORP              EQUITY 05379B107          4         200 SH       DEFINED        4         --         --      200
AVNET INC                EQUITY 53807103           3         100 SH       DEFINED        5         --         --      100
AVNET, INC.              EQUITY 53807103       9,600     351,916 SH       SOLE           1    351,916         --       --
AVOCENT CORP             EQUITY 53893103           8         420 SH       DEFINED        5         --         --      420
AVOCENT CORPORATION      EQUITY 53893103       2,679     144,025 SH       SOLE           1    144,025         --       --
AVON PRODS INC           EQUITY 54303102          17         485 SH       SOLE           2        485         --       --
AVON PRODUCTS, INC.      EQUITY 54303102      11,586     321,658 SH       SOLE           1    321,658         --       --
AVX CORP                 EQUITY 2444107           18       1,596 SH       SOLE           1      1,596         --       --
AWARE INC MASS           EQUITY 05453N100          2         500 SH       DEFINED        5         --         --      500
AXA                      EQUITY 54536107           4         138 SH       DEFINED        5         --         --      138
AXCELIS TECHNOLOGIES INC EQUITY 54540109         453      92,800 SH       SOLE           1     92,800         --       --
AXIS CAPITAL HOLDINGS    EQUITY G0692U109          7         232 SH       DEFINED        4         --         --      232
AXIS CAPITAL HOLDINGS    EQUITY G0692U109          1          39 SH       DEFINED        5         --         --       39
AXIS CAPITAL HOLDINGS
   LTD                   EQUITY G0692U109         92       3,100 SH       SOLE           2      3,100         --       --
AXSYS TECHNOLOGIES INC   EQUITY 54615109         412       7,910 SH       SOLE           1      7,910         --       --
AZZ INC                  EQUITY 2474104          438      10,987 SH       SOLE           1     10,987         --       --
AZZ INC                  EQUITY 2474104           93       2,334 SH       DEFINED        4         --         --    2,334
B & G FOODS INC NEW      EQUITY 05508R205         11         650 SH       DEFINED        4         --         --      650
B & G FOODS INC NEW      EQUITY 05508R205         44       2,595 SH       DEFINED        5         --         --    2,595
B&G FOODS INC            EQUITY 05508R106        170      18,207 SH       SOLE           1     18,207         --       --
BADGER METER INC         EQUITY 56525108         667      13,209 SH       SOLE           1     13,209         --       --
BAIDU COM INC            EQUITY 56752108         548       1,750 SH       SOLE           2      1,750         --       --
BAIDU COM INC            EQUITY 56752108          45         143 SH       DEFINED        4         --         --      143
BAIDU COM INC            EQUITY 56752108          38         120 SH       DEFINED        5         --         --      120
BAIDU COM INC SPON ADR
   REP A (               EQUITY 56752108       5,852      18,700 SH       SOLE           3       8300         --    10400
BAIDU.COM                EQUITY 56752108         446       1,426 SH       SOLE           1      1,426         --       --





                                                                                
BAKER HUGHES INC         EQUITY 57224107         718       8,217 SH       SOLE           2      8,217         --       --
BAKER HUGHES INC         EQUITY 57224107          53         606 SH       DEFINED        4         --         --      606
BAKER HUGHES INC         EQUITY 57224107          88       1,005 SH       DEFINED        5         --         --    1,005
BAKER HUGHES, INC.       EQUITY 57224107      10,726     122,805 SH       SOLE           1    122,805         --       --
BALCHEM CORP             EQUITY 57665200         380      16,412 SH       SOLE           1     16,412         --       --
BALDOR ELECTRIC CO.      EQUITY 57741100       1,461      41,774 SH       SOLE           1     41,774         --       --
BALDWIN & LYONS, INC.,
   CLASS B               EQUITY 57755209         136       7,773 SH       SOLE           1      7,773         --       --
BALL CORP                EQUITY 58498106           5         111 SH       SOLE           2        111         --       --
BALL CORP.               EQUITY 58498106       4,403      92,224 SH       SOLE           1     92,224         --       --
BALLARD PWR SYS INC      EQUITY 05858H104          3         600 SH       DEFINED        5         --         --      600
BALLY TECHNOLOGIES INC   EQUITY 05874B107      2,730      80,755 SH       SOLE           1     80,755         --       --
BALLY TECHNOLOGIES INC   EQUITY 05874B107        499      14,750 SH       SOLE           2     14,750         --       --
BALLY TECHNOLOGIES INC   EQUITY 05874B107         34       1,000 SH       DEFINED        5         --         --    1,000
BALLY TECHNOLOGIES INC
   COM                   EQUITY 05874B107      5,121     151,500 SH       SOLE           3      70900         --    80600
BANCFIRST CORP.          EQUITY 05945F103        286       6,685 SH       SOLE           1      6,685         --       --
BANCO BILBAO VIZCAYA
   ARGENTA               EQUITY 05946K101         34       1,796 SH       DEFINED        4         --         --    1,796
BANCO BRADESCO S A       EQUITY 59460303           5         225 SH       DEFINED        4         --         --      225
BANCO BRADESCO SA        EQUITY 59460303      27,750   1,356,315 SH       SOLE           1  1,356,315         --       --
BANCO LATINOAMERICANO
   DE EXP                EQUITY P16994132         10         600 SH       DEFINED        5         --         --      600
BANCO SANTANDER SA       EQUITY 05964H105         52       2,868 SH       DEFINED        5         --         --    2,868
BANCOLOMBIA S A          EQUITY 05968L102         13         421 SH       DEFINED        4         --         --      421
BANCORPSOUTH, INC.       EQUITY 59692103          48       2,729 SH       SOLE           1      2,729         --       --
BANCTRUST FINANCIAL
   GROUP IN              EQUITY 05978R107        105      15,885 SH       SOLE           1     15,885         --       --
BANK AMER CORP           EQUITY 60505104      17,735     742,988 SH       SOLE           2    742,988         --       --
BANK HAWAII CORP         EQUITY 62540109         160       3,350 SH       SOLE           2      3,350         --       --
BANK MUTUAL CORP         EQUITY 63750103         439      43,698 SH       SOLE           1     43,698         --       --
BANK NEW YORK MELLON
   CORP                  EQUITY 64058100      11,782     311,436 SH       SOLE           2    311,436         --       --
BANK NOVA SCOTIA HALIFAX EQUITY 64149107           5         100 SH       DEFINED        5         --         --      100
BANK OF AMERICA CORP     EQUITY 60505104      94,450   3,956,850 SH       SOLE           1  3,956,850         --       --
BANK OF AMERICA
   CORPORATION           EQUITY 60505104         168       7,020 SH       DEFINED        4         --         --    7,020
BANK OF AMERICA
   CORPORATION           EQUITY 60505104         556      23,309 SH       DEFINED        5         --         --   23,309
BANK OF HAWAII CORP      EQUITY 62540109       5,876     122,920 SH       SOLE           1    122,920         --       --
BANK OF MONTREAL         EQUITY 63671101       6,057     146,026 SH       OTHER          1         --    146,026       --
BANK OF NEW YORK MELLON
   CORP                  EQUITY 64058100         161       4,265 SH       DEFINED        4         --         --    4,265
BANK OF NEW YORK MELLON
   CORP                  EQUITY 64058100          34         902 SH       DEFINED        5         --         --      902
BANK OF NEW YORK MELLON
   CORP/THE              EQUITY 64058100      60,600   1,601,892 SH       SOLE           1  1,601,892         --       --
BANK OF NOVA SCOTIA      EQUITY 64149107      13,854     301,227 SH       OTHER          1         --    301,227       --
BANK OF THE OZARKS INC   EQUITY 63904106         166      11,200 SH       SOLE           1     11,200         --       --
BANKFINANCIAL CORP       EQUITY 06643P104        232      17,828 SH       SOLE           1     17,828         --       --
BANKRATE INC             EQUITY 06646V108        451      11,531 SH       SOLE           1     11,531         --       --
BANNER CORPORATION       EQUITY 06652V109        113      12,721 SH       SOLE           1     12,721         --       --
BARCLAYS BANK PLC        EQUITY 06739H776      5,482     261,700 SH       SOLE           1    261,700         --       --
BARCLAYS BANK PLC        EQUITY 06739H362      1,475      60,000 SH       SOLE           1     60,000         --       --
BARCLAYS BANK PLC        EQUITY 06739H511        680      30,000 SH       SOLE           1     30,000         --       --
BARCLAYS BANK PLC        EQUITY 06739H206         66         986 SH       DEFINED        4         --         --      986
BARCLAYS BANK PLC        EQUITY 06739G851         27         487 SH       DEFINED        4         --         --      487
BARCLAYS BANK PLC        EQUITY 06739H776          8         400 SH       DEFINED        4         --         --      400
BARCLAYS BANK PLC        EQUITY 06739H511          5         200 SH       DEFINED        4         --         --      200
BARCLAYS BANK PLC        EQUITY 06739H743          4         100 SH       DEFINED        5         --         --      100
BARCLAYS BK PLC          EQUITY 06738C778      1,199      16,765 SH       DEFINED        4         --         --   16,765
BARCLAYS BK PLC          EQUITY 06738C786        118       1,400 SH       DEFINED        4         --         --    1,400
BARCLAYS BK PLC          EQUITY 06739F291         10         200 SH       DEFINED        4         --         --      200





                                                                                
BARCLAYS BK PLC          EQUITY 06738C778        252       3,519 SH       DEFINED        5         --         --    3,519
BARCLAYS BK PLC          EQUITY 06738C786         25         300 SH       DEFINED        5         --         --      300
BARCLAYS BK PLC          EQUITY 06739F291          5          88 SH       DEFINED        5         --         --       88
BARCLAYS PLC             EQUITY 6.738E+207       158       6,826 SH       DEFINED        4         --         --    6,826
BARCLAYS PLC             EQUITY 6.738E+207       192       8,294 SH       DEFINED        5         --         --    8,294
BARD C R INC             EQUITY 67383109         250       2,843 SH       SOLE           2      2,843         --       --
BARD C R INC             EQUITY 67383109           2          24 SH       DEFINED        5         --         --       24
BARE ESCENTUALS INC      EQUITY 67511105       1,066      56,940 SH       SOLE           1     56,940         --       --
BARNES & NOBLE, INC.     EQUITY 67774109       2,648     106,584 SH       SOLE           1    106,584         --       --
BARNES GROUP, INC.       EQUITY 67806109       1,000      43,327 SH       SOLE           1     43,327         --       --
BARR PHARMACEUTICALS INC EQUITY 68306109      40,429     896,822 SH       SOLE           1    896,822         --       --
BARR PHARMACEUTICALS INC EQUITY 68306109       4,193      93,023 SH       SOLE           2     93,023         --       --
BARR PHARMACEUTICALS INC EQUITY 68306109         209       4,630 SH       DEFINED        4         --         --    4,630
BARR PHARMACEUTICALS INC EQUITY 68306109          38         842 SH       DEFINED        5         --         --      842
BARRICK GOLD CORP        EQUITY 67901108         821      18,039 SH       SOLE           2     18,039         --       --
BARRICK GOLD CORP        EQUITY 67901108          51       1,117 SH       DEFINED        4         --         --    1,117
BARRICK GOLD CORP        EQUITY 67901108         152       3,350 SH       DEFINED        5         --         --    3,350
BARRICK GOLD CORPORATION EQUITY 67901108      37,602     818,470 SH       OTHER          1         --    818,470       --
BASIC ENERGY SERVICES
   INC                   EQUITY 06985P100      1,177      37,373 SH       SOLE           1     37,373         --       --
BASIN WTR INC            EQUITY 07011T306          6       1,300 SH       DEFINED        4         --         --    1,300
BAXTER INTERNATIONAL,
   INC.                  EQUITY 71813109      19,877     310,864 SH       SOLE           1    310,864         --       --
BAXTER INTL INC          EQUITY 71813109       1,389      21,728 SH       SOLE           2     21,728         --       --
BAXTER INTL INC          EQUITY 71813109          92       1,434 SH       DEFINED        4         --         --    1,434
BAXTER INTL INC          EQUITY 71813109           6         100 SH       DEFINED        5         --         --      100
BAYTEX ENERGY TR         EQUITY 73176109         428      12,486 SH       DEFINED        4         --         --   12,486
BAYTEX ENERGY TR         EQUITY 73176109           7         200 SH       DEFINED        5         --         --      200
BAYTEX ENERGY TRUST      EQUITY 73176109       2,149      62,700 SH       OTHER          1         --     62,700       --
BB&T CORP                EQUITY 54937107          21         927 SH       DEFINED        4         --         --      927
BB&T CORP                EQUITY 54937107          39       1,700 SH       DEFINED        5         --         --    1,700
BB+T CORP                EQUITY 54937107          14         622 SH       SOLE           2        622         --       --
BBT CORP.                EQUITY 54937107      24,119   1,059,243 SH       SOLE           1  1,059,243         --       --
BCE INC                  EQUITY 05534B760      6,946     198,230 SH       OTHER          1         --    198,230       --
BE AEROSPACE INC         EQUITY 73302101           7         300 SH       DEFINED        5         --         --      300
BE AEROSPACE, INC.       EQUITY 73302101       5,108     219,326 SH       SOLE           1    219,326         --       --
BEACON POWER CORP        EQUITY 73677106         167      80,337 SH       SOLE           1     80,337         --       --
BEACON ROOFING SUPPLY
   INC                   EQUITY 73685109         426      40,114 SH       SOLE           1     40,114         --       --
BEARINGPOINT INC         EQUITY 74002106         160     197,393 SH       SOLE           1    197,393         --       --
BEAZER HOMES USA, INC.   EQUITY 07556Q105        198      35,541 SH       SOLE           1     35,541         --       --
BEBE STORES, INC.        EQUITY 75571109         334      34,771 SH       SOLE           1     34,771         --       --
BECKMAN COULTER, INC.    EQUITY 75811109       9,925     146,969 SH       SOLE           1    146,969         --       --
BECTON DICKINSON & CO    EQUITY 75887109           2          19 SH       DEFINED        4         --         --       19
BECTON DICKINSON & CO    EQUITY 75887109           3          43 SH       DEFINED        5         --         --       43
BECTON DICKINSON + CO    EQUITY 75887109         673       8,277 SH       SOLE           2      8,277         --       --
BECTON, DICKINSON AND
   CO.                   EQUITY 75887109      40,485     497,968 SH       SOLE           1    497,968         --       --
BED BATH & BEYOND INC    EQUITY 75896100          35       1,238 SH       DEFINED        5         --         --    1,238
BED BATH & BEYOND, INC.  EQUITY 75896100       3,606     128,322 SH       SOLE           1    128,322         --       --
BED BATH + BEYOND INC    EQUITY 75896100           8         294 SH       SOLE           2        294         --       --
BEL FUSE INC. CLASS B    EQUITY 77347300         265      10,737 SH       SOLE           1     10,737         --       --
BELDEN INC               EQUITY 77454106       1,343      39,632 SH       SOLE           1     39,632         --       --
BELDEN INC               EQUITY 77454106           8         226 SH       DEFINED        4         --         --      226
BELO CORP.               EQUITY 80555105       2,076     283,931 SH       SOLE           1    283,931         --       --
BEMIS CO INC             EQUITY 81437105       2,094      93,406 SH       SOLE           2     93,406         --       --





                                                                                
BEMIS CO., INC.          EQUITY 81437105         989      44,105 SH       SOLE           1     44,105         --       --
BEMIS INC                EQUITY 81437105           9         400 SH       DEFINED        5         --         --      400
BENCHMARK ELECTRONICS,
   INC.                  EQUITY 08160H101        999      61,109 SH       SOLE           1     61,109         --       --
BENCHMARK ELECTRS INC    EQUITY 08160H101         31       1,900 SH       DEFINED        5         --         --    1,900
BENEFICIAL MUTUAL
   BANCORP INC           EQUITY 08173R104        328      29,660 SH       SOLE           1     29,660         --       --
BENTLEY PHARMACEUTICAL   EQUITY 82657107         282      17,471 SH       SOLE           1     17,471         --       --
BERKLEY W R CORP         EQUITY 84423102           5         225 SH       DEFINED        4         --         --      225
BERKSHIRE HATHAWAY INC
   DEL                   EQUITY 84670207         309          77 SH       DEFINED        4         --         --       77
BERKSHIRE HATHAWAY INC
   DEL                   EQUITY 84670108         121           1 SH       DEFINED        4         --         --        1
BERKSHIRE HATHAWAY INC
   DEL                   EQUITY 84670207       1,300         324 SH       DEFINED        5         --         --      324
BERKSHIRE HATHAWAY INC
   DEL                   EQUITY 84670108         725           6 SH       DEFINED        5         --         --        6
BERKSHIRE HILLS BANCOR   EQUITY 84680107         224       9,488 SH       SOLE           1      9,488         --       --
BERRY PETE CO            EQUITY 85789105         645      10,950 SH       SOLE           2     10,950         --       --
BERRY PETROLEUM CO.
   CLASS A               EQUITY 85789105       2,277      38,666 SH       SOLE           1     38,666         --       --
BEST BUY CO INC          EQUITY 86516101       2,920      73,737 SH       SOLE           2     73,737         --       --
BEST BUY CO., INC.       EQUITY 86516101      10,462     264,200 SH       SOLE           1    264,200         --       --
BEST BUY INC             EQUITY 86516101           5         137 SH       DEFINED        4         --         --      137
BEST BUY INC             EQUITY 086516AF8          3           3 PRN      DEFINED        4         --         --        3
BEST BUY INC             EQUITY 86516101          92       2,334 SH       DEFINED        5         --         --    2,334
BGC PARTNERS INC         EQUITY 05541T101         43       5,680 SH       SOLE           1      5,680         --       --
BHP BILLITON LTD         EQUITY 88606108          93       1,091 SH       DEFINED        4         --         --    1,091
BHP BILLITON LTD         EQUITY 88606108         402       4,716 SH       DEFINED        5         --         --    4,716
BHP BILLITON PLC         EQUITY 5.545E+212         3          35 SH       DEFINED        4         --         --       35
BIDZ COM INC             EQUITY 08883T200         49       5,625 SH       DEFINED        4         --         --    5,625
BIDZ.COM INC             EQUITY 08883T200         46       5,246 SH       SOLE           1      5,246         --       --
BIG 5 SPORTING GOODS
   CORP                  EQUITY 08915P101        150      19,776 SH       SOLE           1     19,776         --       --
BIG LOTS INC             EQUITY 89302103         150       4,793 SH       SOLE           2      4,793         --       --
BIG LOTS INC             EQUITY 89302103           1          48 SH       DEFINED        4         --         --       48
BIG LOTS INC.            EQUITY 89302103       1,590      50,892 SH       SOLE           1     50,892         --       --
BIGBAND NETWORKS INC     EQUITY 89750509         141      29,772 SH       SOLE           1     29,772         --       --
BIGBAND NETWORKS INC     EQUITY 89750509           9       2,000 SH       DEFINED        4         --         --    2,000
BILL BARRETT CORP        EQUITY 06846N104      6,611     111,278 SH       SOLE           1    111,278         --       --
BIO RAD LABORATORIES INC EQUITY 90572207         493       6,100 SH       SOLE           2      6,100         --       --
BIODEL INC               EQUITY 09064M105        126       9,729 SH       SOLE           1      9,729         --       --
BIOFORM MEDICAL INC      EQUITY 09065G107         80      19,810 SH       SOLE           1     19,810         --       --
BIOGEN IDEC INC          EQUITY 09062X103     10,343     185,065 SH       SOLE           1    185,065         --       --
BIOGEN IDEC INC          EQUITY 09062X103         19         333 SH       SOLE           2        333         --       --
BIOGEN IDEC INC          EQUITY 09062X103          5          92 SH       DEFINED        4         --         --       92
BIOGEN IDEC INC          EQUITY 09062X103         17         300 SH       DEFINED        5         --         --      300
BIOMARIN PHARMACEUTICAL
   IN                    EQUITY 09061G101        435      15,000 SH       SOLE           2     15,000         --       --
BIOMARIN PHARMACEUTICAL
   INC.                  EQUITY 09061G101         66       2,268 SH       SOLE           1      2,268         --       --
BIOMED REALTY TRUST INC  EQUITY 09063H107          5         200 SH       DEFINED        5         --         --      200
BIOMIMETIC THERAPEUTICS
   INC                   EQUITY 09064X101        143      12,011 SH       SOLE           1     12,011         --       --
BIO-RAD LABORATORIES,
   INC., CLASS A         EQUITY 90572207       1,387      17,151 SH       SOLE           1     17,151         --       --
BIO-REFERENCE LABS INC   EQUITY 09057G602        233      10,449 SH       SOLE           1     10,449         --       --
BIOVAIL CORP             EQUITY 09067J109        471      48,157 SH       OTHER          1         --     48,157       --
BIOVAIL CORP             EQUITY 09067J109        166      17,172 SH       DEFINED        4         --         --   17,172
BIOVAIL CORP             EQUITY 09067J109        208      21,600 SH       DEFINED        5         --         --   21,600
BJ SERVICES CO.          EQUITY 55482103       4,040     126,501 SH       SOLE           1    126,501         --       --
BJ SVCS CO               EQUITY 55482103          11         334 SH       SOLE           2        334         --       --
BJ SVCS CO               EQUITY 55482103          10         300 SH       DEFINED        5         --         --      300
BJ'S RESTAURANTS INC     EQUITY 09180C106        153      15,762 SH       SOLE           1     15,762         --       --





                                                                                
BJS WHOLESALE CLUB INC   EQUITY 05548J106          6         150 SH       DEFINED        4         --         --      150
BJS WHOLESALE CLUB INC   EQUITY 05548J106         31         800 SH       DEFINED        5         --         --      800
BJ'S WHOLESALE CLUB INC. EQUITY 05548J106      5,452     140,879 SH       SOLE           1    140,879         --       --
BJS WHSL CLUB INC        EQUITY 05548J106        190       4,901 SH       SOLE           2      4,901         --       --
BLACK & DECKER CORP.     EQUITY 91797100       1,512      26,285 SH       SOLE           1     26,285         --       --
BLACK + DECKER
   CORPORATION           EQUITY 91797100           4          70 SH       SOLE           2         70         --       --
BLACK BOX CORP.          EQUITY 91826107         431      15,868 SH       SOLE           1     15,868         --       --
BLACK HILLS CORP         EQUITY 92113109          10         300 SH       DEFINED        4         --         --      300
BLACK HILLS CORP         EQUITY 92113109          30         950 SH       DEFINED        5         --         --      950
BLACK HILLS CORP.        EQUITY 92113109       3,962     123,591 SH       SOLE           1    123,591         --       --
BLACKBAUD INC            EQUITY 09227Q100        867      40,510 SH       SOLE           1     40,510         --       --
BLACKBOARD INC           EQUITY 91935502       1,071      28,021 SH       SOLE           1     28,021         --       --
BLACKROCK CA INSD MUN
   2008 T                EQUITY 09247G108         12         803 SH       DEFINED        5         --         --      803
BLACKROCK CALIF MUN
   INCOME T              EQUITY 9.248E+105         5         330 SH       DEFINED        4         --         --      330
BLACKROCK CALIF MUN
   INCOME T              EQUITY 9.248E+105        50       3,590 SH       DEFINED        5         --         --    3,590
BLACKROCK CORE BD TR     EQUITY 9.249E+104         2         195 SH       DEFINED        4         --         --      195
BLACKROCK CORPOR HI YLD
   FD V                  EQUITY 09255N102         89       8,174 SH       DEFINED        4         --         --    8,174
BLACKROCK CORPOR HI YLD
   FD V                  EQUITY 09255P107          1         107 SH       DEFINED        4         --         --      107
BLACKROCK CORPOR HI YLD
   III                   EQUITY 09255M104        272      41,330 SH       DEFINED        5         --         --   41,330
BLACKROCK CORPOR HIGH
   YLD FD                EQUITY 09255L106         48       7,301 SH       DEFINED        5         --         --    7,301
BLACKROCK DEBT STRAT FD
   INC                   EQUITY 09255R103         33       6,123 SH       DEFINED        4         --         --    6,123
BLACKROCK DEBT STRAT FD
   INC                   EQUITY 09255R103         22       4,045 SH       DEFINED        5         --         --    4,045
BLACKROCK DIVID
   ACHIEVRS TM           EQUITY 09250N107          4         400 SH       DEFINED        4         --         --      400
BLACKROCK ECOSOLUTIONS
   INVT                  EQUITY 92546100          18       1,000 SH       DEFINED        5         --         --    1,000
BLACKROCK ENHAN EQ YLD
   & PRE                 EQUITY 9.256E+104         3         200 SH       DEFINED        5         --         --      200
BLACKROCK ENHANCED DIV
   ACHV                  EQUITY 09251A104         12       1,200 SH       DEFINED        5         --         --    1,200
BLACKROCK GLBL ENRGY &
   RES T                 EQUITY 09250U101          7         200 SH       DEFINED        4         --         --      200
BLACKROCK HIGH INCOME
   SHS                   EQUITY 9.25E+110         25      12,000 SH       DEFINED        4         --         --   12,000
BLACKROCK HIGH YIELD TR  EQUITY 09248N102         33       5,000 SH       DEFINED        4         --         --    5,000
BLACKROCK HIGH YIELD TR  EQUITY 09248N102          4         580 SH       DEFINED        5         --         --      580
BLACKROCK INCOME OPP
   TRUST I               EQUITY 92475102          15       1,500 SH       DEFINED        4         --         --    1,500
BLACKROCK INCOME OPP
   TRUST I               EQUITY 92475102           5         500 SH       DEFINED        5         --         --      500
BLACKROCK INCOME TR INC  EQUITY 09247F100         35       6,000 SH       DEFINED        4         --         --    6,000
BLACKROCK INCOME TR INC  EQUITY 09247F100         34       5,750 SH       DEFINED        5         --         --    5,750
BLACKROCK INSD MUN 2008
   TRM                   EQUITY 09247K109         12         804 SH       DEFINED        5         --         --      804
BLACKROCK INSD MUN
   INCOME TR             EQUITY 92479104          32       2,500 SH       DEFINED        4         --         --    2,500
BLACKROCK INSD MUN TERM
   TR I                  EQUITY 92474105          42       4,197 SH       DEFINED        4         --         --    4,197
BLACKROCK KELSO CAPITAL
   CORP                  EQUITY 92533108         111      11,776 SH       SOLE           1     11,776         --       --
BLACKROCK MUN 2020 TERM
   TR                    EQUITY 09249X109         18       1,333 SH       DEFINED        4         --         --    1,333
BLACKROCK MUNI INCOME
   TR II                 EQUITY 09249N101         76       5,595 SH       DEFINED        4         --         --    5,595
BLACKROCK MUNICIPAL
   BOND TR               EQUITY 09249H104         17       1,200 SH       DEFINED        4         --         --    1,200
BLACKROCK MUNIENHANCED
   FD IN                 EQUITY 09253Y100         54       5,450 SH       DEFINED        4         --         --    5,450
BLACKROCK MUNIHOLDINGS
   CALIF                 EQUITY 09254L107         38       3,135 SH       DEFINED        5         --         --    3,135
BLACKROCK MUNIVEST FD
   INC                   EQUITY 09253R105         69       8,050 SH       DEFINED        4         --         --    8,050
BLACKROCK MUNIYIELD
   ARIZ FD               EQUITY 09254K109         20       1,475 SH       DEFINED        5         --         --    1,475
BLACKROCK MUNIYIELD
   CALIF IN              EQUITY 09254N103         19       1,500 SH       DEFINED        5         --         --    1,500
BLACKROCK MUNIYIELD FD
   INC                   EQUITY 09253W104         19       1,450 SH       DEFINED        5         --         --    1,450
BLACKROCK MUNYIELD INSD
   FD I                  EQUITY 9.254E+106        12       1,005 SH       DEFINED        5         --         --    1,005
BLACKROCK PFD
   OPPORTUNITY TR        EQUITY 09249V103          4         200 SH       DEFINED        4         --         --      200
BLACKROCK S&P QLTY RK
   EQ MD                 EQUITY 09250D109         15       1,039 SH       DEFINED        5         --         --    1,039
BLACKROCK SR HIGH
   INCOME FD             EQUITY 09255T109         17       3,650 SH       DEFINED        4         --         --    3,650
BLACKROCK SR HIGH
   INCOME FD             EQUITY 09255T109        207      43,871 SH       DEFINED        5         --         --   43,871





                                                                                
BLACKROCK STRAT DIVD
   ACHIEVE               EQUITY 09249Y107         34       3,282 SH       DEFINED        5         --         --    3,282
BLACKROCK STRATEGIC MUN
   TR                    EQUITY 09248T109         22       1,675 SH       DEFINED        4         --         --    1,675
BLACKROCK STRATEGIC MUN
   TR                    EQUITY 09248T109          4         273 SH       DEFINED        5         --         --      273
BLACKROCK STRTGC BOND TR EQUITY 09249G106         51       4,500 SH       DEFINED        5         --         --    4,500
BLACKSTONE GROUP L P     EQUITY 09253U108         18       1,000 SH       DEFINED        5         --         --    1,000
BLDRS INDEX FDS TR       EQUITY 09348R300         11         211 SH       DEFINED        4         --         --      211
BLDRS INDEX FDS TR       EQUITY 09348R300        175       3,417 SH       DEFINED        5         --         --    3,417
BLDRS INDEX FDS TR       EQUITY 09348R409         64       2,335 SH       DEFINED        5         --         --    2,335
BLDRS INDEX FDS TR       EQUITY 09348R102         17         550 SH       DEFINED        5         --         --      550
BLOCK FINANCIAL CORP     EQUITY 93671105      31,462   1,452,594 SH       SOLE           1  1,452,594         --       --
BLOCK H & R INC          EQUITY 93671105           5         247 SH       DEFINED        4         --         --      247
BLOCK H & R INC          EQUITY 93671105           6         285 SH       DEFINED        5         --         --      285
BLOCK H + R INC          EQUITY 93671105           8         370 SH       SOLE           2        370         --       --
BLOCKBUSTER INC -CLA     EQUITY 93679108         401     160,292 SH       SOLE           1    160,292         --       --
BLOUNT INTERNATIONAL INC EQUITY 95180105         401      34,554 SH       SOLE           1     34,554         --       --
BLUE CHIP VALUE FD INC   EQUITY 95333100         289      63,695 SH       DEFINED        4         --         --   63,695
BLUE COAT SYSTEMS INC    EQUITY 09534T508        423      30,003 SH       SOLE           1     30,003         --       --
BLUE COAT SYSTEMS INC    EQUITY 09534T508         15       1,094 SH       DEFINED        4         --         --    1,094
BLUE NILE INC            EQUITY 09578R103        514      12,087 SH       SOLE           1     12,087         --       --
BLUEGREEN CORP           EQUITY 96231105          70      11,624 SH       SOLE           1     11,624         --       --
BLYTH INC.               EQUITY 09643P108        922      76,624 SH       SOLE           1     76,624         --       --
BMB MUNAI INC            EQUITY 09656A105        201      33,804 SH       SOLE           1     33,804         --       --
BMC SOFTWARE INC         EQUITY 55921100         190       5,287 SH       SOLE           2      5,287         --       --
BMC SOFTWARE INC         EQUITY 55921100           2          49 SH       DEFINED        4         --         --       49
BMC SOFTWARE INC         EQUITY 55921100          14         399 SH       DEFINED        5         --         --      399
BMC SOFTWARE, INC.       EQUITY 55921100       6,173     171,483 SH       SOLE           1    171,483         --       --
BMP SUNSTONE CORP        EQUITY 05569C105        119      20,964 SH       SOLE           1     20,964         --       --
BOB EVANS FARMS, INC.    EQUITY 96761101       2,854      99,777 SH       SOLE           1     99,777         --       --
BOEING CO                EQUITY 97023105       8,403     127,862 SH       SOLE           2    127,862         --       --
BOEING CO                EQUITY 97023105          68       1,032 SH       DEFINED        4         --         --    1,032
BOEING CO                EQUITY 97023105         403       6,133 SH       DEFINED        5         --         --    6,133
BOEING CO.               EQUITY 97023105      50,407     766,992 SH       SOLE           1    766,992         --       --
BOIS D' ARC ENERGY INC   EQUITY 09738U103        427      17,577 SH       SOLE           1     17,577         --       --
BOISE INC                EQUITY 09746Y105        124      32,334 SH       SOLE           1     32,334         --       --
BOK FINANCIAL CORP.      EQUITY 05561Q201         39         737 SH       SOLE           1        737         --       --
BOLT TECHNOLOGY CORP     EQUITY 97698104         176       7,806 SH       SOLE           1      7,806         --       --
BON-TON STORES INC       EQUITY 09776J101          5       1,040 SH       DEFINED        5         --         --    1,040
BOOKHAM INC              EQUITY 9.856E+108       154      91,258 SH       SOLE           1     91,258         --       --
BOOTS&COOTS/INTL WELL
   COM NEW               EQUITY 99469504       1,488     625,400 SH       SOLE           3     625400         --       --
BORDERS GROUP, INC.      EQUITY 99709107       1,168     194,702 SH       SOLE           1    194,702         --       --
BORG WARNER INC          EQUITY 99724106      12,041     271,316 SH       SOLE           1    271,316         --       --
BOSTON BEER INC          EQUITY 100557107          9         233 SH       DEFINED        5         --         --      233
BOSTON BEER, INC. CLASS
   A                     EQUITY 100557107        311       7,638 SH       SOLE           1      7,638         --       --
BOSTON PPTYS INC         EQUITY 101121101         12         136 SH       SOLE           2        136         --       --
BOSTON PRIVATE
   FINANCIAL HOLDI       EQUITY 101119105        198      34,885 SH       SOLE           1     34,885         --       --
BOSTON SCIENTIFIC CORP   EQUITY 101137107         19       1,531 SH       SOLE           2      1,531         --       --
BOSTON SCIENTIFIC CORP   EQUITY 101137107          6         500 SH       DEFINED        4         --         --      500
BOSTON SCIENTIFIC CORP   EQUITY 101137107         97       7,854 SH       DEFINED        5         --         --    7,854
BOSTON SCIENTIFIC CORP.  EQUITY 101137107      8,210     667,985 SH       SOLE           1    667,985         --       --
BOTTOMLINE TECHNOLOGIES
   INC                   EQUITY 101388106        193      19,885 SH       SOLE           1     19,885         --       --
BOULDER GROWTH & INCOME
   FUND INC              EQUITY 101507101         83      11,316 SH       SOLE           1     11,316         --       --
BOWNE & CO., INC.        EQUITY 103043105        311      24,363 SH       SOLE           1     24,363         --       --





                                                                                
BOYD GAMING CORP.        EQUITY 103304101      1,654     131,715 SH       SOLE           1    131,715         --       --
BP PLC                   EQUITY 55622104         204       2,934 SH       DEFINED        4         --         --    2,934
BP PLC                   EQUITY 55622104         363       5,218 SH       DEFINED        5         --         --    5,218
BP PRUDHOE BAY RTY TR    EQUITY 55630107         374       3,619 SH       DEFINED        4         --         --    3,619
BP PRUDHOE BAY RTY TR    EQUITY 55630107          78         750 SH       DEFINED        5         --         --      750
BPZ RESOURCES INC        EQUITY 55639108       1,596      54,285 SH       SOLE           1     54,285         --       --
BRADY CORP.              EQUITY 104674106      1,571      45,492 SH       SOLE           1     45,492         --       --
BRAZIL TELECOM PART SA
   -ADR                  EQUITY 105530109     20,244     275,920 SH       SOLE           1    275,920         --       --
BRE PROPERTIES INC       EQUITY 5.564E+109        35         798 SH       DEFINED        4         --         --      798
BRE PROPERTIES, INC.,
   CLASS A               EQUITY 5.564E+109     3,039      70,213 SH       SOLE           1     70,213         --       --
BREITBURN ENERGY
   PARTNERS LP           EQUITY 106776107          4         200 SH       DEFINED        4         --         --      200
BRIGGS & STRATTON CORP   EQUITY 109043109          4         350 SH       DEFINED        5         --         --      350
BRIGGS & STRATTON CORP.  EQUITY 109043109        569      44,893 SH       SOLE           1     44,893         --       --
BRIGHAM EXPLORATION CO   EQUITY 109178103        663      41,853 SH       SOLE           1     41,853         --       --
BRIGHTPOINT INC          EQUITY 109473405        330      45,161 SH       SOLE           1     45,161         --       --
BRIGHTPOINT INC          EQUITY 109473405         23       3,107 SH       DEFINED        5         --         --    3,107
BRINKER INTERNATIONAL,
   INC.                  EQUITY 109641100      4,469     236,431 SH       SOLE           1    236,431         --       --
BRINKER INTL INC         EQUITY 109641100        180       9,500 SH       DEFINED        5         --         --    9,500
BRINKS CO                EQUITY 109696104         33         500 SH       DEFINED        5         --         --      500
BRINK'S CO/THE           EQUITY 109696104      7,231     110,534 SH       SOLE           1    110,534         --       --
BRISTOL MYERS SQUIBB CO  EQUITY 110122108      1,964      95,662 SH       SOLE           2     95,662         --       --
BRISTOL MYERS SQUIBB CO  EQUITY 110122108         34       1,664 SH       DEFINED        4         --         --    1,664
BRISTOL MYERS SQUIBB CO  EQUITY 110122108        160       7,797 SH       DEFINED        5         --         --    7,797
BRISTOL MYERS SQUIBB CO. EQUITY 110122108     67,734   3,299,266 SH       SOLE           1  3,299,266         --       --
BRISTOW GROUP INC        EQUITY 110394103        893      18,052 SH       SOLE           1     18,052         --       --
BRITISH AMERN TOB PLC    EQUITY 110448107          2          30 SH       DEFINED        4         --         --       30
BRITISH AMERN TOB PLC    EQUITY 110448107          2          24 SH       DEFINED        5         --         --       24
BROADCOM CORP            EQUITY 111320107      4,298     157,509 SH       SOLE           2    157,509         --       --
BROADCOM CORP.           EQUITY 111320107      6,510     238,566 SH       SOLE           1    238,566         --       --
BROADPOINT SECURITIES
   GROUP INC             EQUITY 11133V108         44      21,890 SH       SOLE           1     21,890         --       --
BROADRIDGE FINANCIAL
   SOLUTIONS LLC         EQUITY 11133T103      7,528     357,615 SH       SOLE           1    357,615         --       --
BROADRIDGE FINL
   SOLUTIONS             EQUITY 11133T103        705      33,500 SH       SOLE           2     33,500         --       --
BROADRIDGE FINL
   SOLUTIONS IN          EQUITY 11133T103          2         103 SH       DEFINED        4         --         --      103
BROCADE COMMUNICATIONS
   SYS                   EQUITY 111621306      2,073     251,600 SH       SOLE           2    251,600         --       --
BROCADE COMMUNICATIONS
   SYS I                 EQUITY 111621306          2         250 SH       DEFINED        5         --         --      250
BROCADE COMMUNICATIONS
   SYSTEMS INC           EQUITY 111621306         98      11,925 SH       SOLE           1     11,925         --       --
BRONCO DRILLING CO INC   EQUITY 112211107        437      23,798 SH       SOLE           1     23,798         --       --
BROOKDALE SENIOR LIVING
   INC                   EQUITY 112463104         24       1,192 SH       SOLE           1      1,192         --       --
BROOKFIELD ASSET
   MANAGEMENT INC        EQUITY 112585104      1,036      31,768 SH       OTHER          1         --     31,768       --
BROOKFIELD ASSET MGMT
   INC                   EQUITY 112585104         23         700 SH       DEFINED        4         --         --      700
BROOKFIELD ASSET MGMT
   INC                   EQUITY 112585104         10         300 SH       DEFINED        5         --         --      300
BROOKFIELD HOMES CORP    EQUITY 112723101        104       8,477 SH       SOLE           1      8,477         --       --
BROOKFIELD INFRAST
   PARTNERS              EQUITY G16252101          2         108 SH       DEFINED        5         --         --      108
BROOKFIELD PROPERTIES
   CORP                  EQUITY 112900105         90       5,003 SH       OTHER          1         --      5,003       --
BROOKLINE BANCORP INC    EQUITY 11373M107        504      52,732 SH       SOLE           1     52,732         --       --
BROOKLYN FEDERAL
   BANCORP INC           EQUITY 114039100         37       3,067 SH       SOLE           1      3,067         --       --
BROOKS AUTOMATION INC    EQUITY 114340102        476      57,513 SH       SOLE           1     57,513         --       --
BROOKS AUTOMATION INC
   NEW                   EQUITY 114340102      3,632     439,200 SH       SOLE           2    439,200         --       --
BROWN & BROWN INC        EQUITY 115236101      4,644     267,055 SH       SOLE           1    267,055         --       --
BROWN FORMAN CORP        EQUITY 115637209          7          96 SH       SOLE           2         96         --       --
BROWN SHOE COMANY, INC.  EQUITY 115736100        519      38,334 SH       SOLE           1     38,334         --       --
BROWN-FORMAN CORP CLASS
   B                     EQUITY 115637209      2,719      35,982 SH       SOLE           1     35,982         --       --





                                                                                
BRUKER CORP              EQUITY 116794108        588      45,727 SH       SOLE           1     45,727         --       --
BRUNSWICK CORP.          EQUITY 117043109      1,493     140,838 SH       SOLE           1    140,838         --       --
BRUSH ENGINEERED
   MATERIALS             EQUITY 117421107        451      18,472 SH       SOLE           1     18,472         --       --
BRYN MAWR BK CORP        EQUITY 117665109        109       6,229 SH       SOLE           1      6,229         --       --
BRYN MAWR BK CORP        EQUITY 117665109         77       4,428 SH       DEFINED        4         --         --    4,428
BT GROUP PLC             EQUITY 5.577E+104         4         100 SH       DEFINED        4         --         --      100
BUCKEYE PARTNERS L P     EQUITY 118230101        200       4,687 SH       DEFINED        4         --         --    4,687
BUCKEYE TECHNOLOGIES INC EQUITY 118255108        300      35,506 SH       SOLE           1     35,506         --       --
BUCKLE INC               EQUITY 118440106         44         952 SH       DEFINED        5         --         --      952
BUCKLE, INC.             EQUITY 118440106        641      14,008 SH       SOLE           1     14,008         --       --
BUCYRUS INTERNATIONAL
   INC-A                 EQUITY 118759109        126       1,723 SH       SOLE           1      1,723         --       --
BUCYRUS INTL INC NEW     EQUITY 118759109        599       8,200 SH       SOLE           2      8,200         --       --
BUCYRUS INTL INC NEW     EQUITY 118759109          8         110 SH       DEFINED        5         --         --      110
BUCYRUS INTL INC NEW CL
   A                     EQUITY 118759109     10,449     143,100 SH       SOLE           3      62900         --    80200
BUFFALO WILD WINGS INC   EQUITY 119848109        400      16,125 SH       SOLE           1     16,125         --       --
BUFFALO WILD WINGS INC   EQUITY 119848109          5         200 SH       DEFINED        4         --         --      200
BUFFALO WILD WINGS INC   EQUITY 119848109          4         150 SH       DEFINED        5         --         --      150
BUILD-A-BEAR WORKSHOP
   INC                   EQUITY 120076104        109      15,042 SH       SOLE           1     15,042         --       --
BUILDERS FIRSTSOURCE INC EQUITY 12008R107         76      14,399 SH       SOLE           1     14,399         --       --
BUNGE LIMITED            EQUITY G16962105         54         500 SH       DEFINED        4         --         --      500
BUNGE LIMITED            EQUITY G16962105         25         230 SH       DEFINED        5         --         --      230
BURGER KING HOLDINGS INC EQUITY 121208201      1,657      61,846 SH       SOLE           1     61,846         --       --
BURLINGTON NORTHERN
   SANTA FE              EQUITY 12189T104     13,350     133,645 SH       SOLE           1    133,645         --       --
BURLINGTON NORTHN SANTA
   FE                    EQUITY 12189T104         33         333 SH       SOLE           2        333         --       --
BURLINGTON NORTHN SANTA
   FE C                  EQUITY 12189T104          6          63 SH       DEFINED        4         --         --       63
BURLINGTON NORTHN SANTA
   FE C                  EQUITY 12189T104        120       1,201 SH       DEFINED        5         --         --    1,201
BWAY HOLDING CO          EQUITY 12429T104         58       6,775 SH       SOLE           1      6,775         --       --
C H ROBINSON WORLDWIDE
   INC                   EQUITY 12541W209         11         194 SH       SOLE           2        194         --       --
C. R. BARD, INC.         EQUITY 67383109       6,409      72,866 SH       SOLE           1     72,866         --       --
C.H. ROBINSON WORLDWIDE
   INC                   EQUITY 12541W209      5,421      98,855 SH       SOLE           1     98,855         --       --
CA INC                   EQUITY 12673P105      4,520     195,765 SH       SOLE           1    195,765         --       --
CA INC                   EQUITY 12673P105         10         444 SH       SOLE           2        444         --       --
CA INC                   EQUITY 12673P105          1          62 SH       DEFINED        4         --         --       62
CABELAS INC              EQUITY 126804301          2         200 SH       DEFINED        5         --         --      200
CABELA'S INC-CL A        EQUITY 126804301        392      35,580 SH       SOLE           1     35,580         --       --
CABLEVISION SYS CORP     EQUITY 12686C109          5         202 SH       DEFINED        5         --         --      202
CABLEVISION SYSTEMS CORP EQUITY 12686C109        166       7,345 SH       SOLE           1      7,345         --       --
CABOT CORP.              EQUITY 127055101      3,674     151,135 SH       SOLE           1    151,135         --       --
CABOT MICROELECTRONICS
   CORP                  EQUITY 12709P103        705      21,256 SH       SOLE           1     21,256         --       --
CABOT OIL & GAS CORP     EQUITY 127097103        497       7,334 SH       DEFINED        4         --         --    7,334
CABOT OIL & GAS CORP     EQUITY 127097103        102       1,500 SH       DEFINED        5         --         --    1,500
CABOT OIL & GAS CORP.,
   CLASS A               EQUITY 127097103      4,173      61,617 SH       SOLE           1     61,617         --       --
CABOT OIL + GAS CORP     EQUITY 127097103        549       8,111 SH       SOLE           2      8,111         --       --
CACHE INC                EQUITY 127150308        109      10,210 SH       SOLE           1     10,210         --       --
CACI INTERNATIONAL       EQUITY 127190304      1,249      27,280 SH       SOLE           1     27,280         --       --
CACI INTL INC            EQUITY 127190304        636      13,900 SH       SOLE           2     13,900         --       --
CADBURY PLC              EQUITY 1.2721E+106        5          96 SH       DEFINED        4         --         --       96
CADBURY PLC              EQUITY 1.2721E+106        4          84 SH       DEFINED        5         --         --       84
CADENCE DESIGN SYSTEM
   INC                   EQUITY 127387108          3         309 SH       DEFINED        4         --         --      309
CADENCE DESIGN SYSTEMS,
   INC.                  EQUITY 127387108      6,254     619,182 SH       SOLE           1    619,182         --       --
CADENCE PHARMACEUTICALS
   INC                   EQUITY 12738T100        112      18,311 SH       SOLE           1     18,311         --       --
CADIZ INC                EQUITY 127537207        175      10,833 SH       SOLE           1     10,833         --       --





                                                                                
CAE INC                  EQUITY 124765108         68       5,996 SH       OTHER          1         --      5,996       --
CAI INTERNATIONAL INC    EQUITY 12477X106        116       6,663 SH       SOLE           1      6,663         --       --
CAKTRONICS INC           EQUITY 234264109        599      29,702 SH       SOLE           1     29,702         --       --
CAL DIVE INTERNATIONAL
   INC                   EQUITY 12802T101      5,261     368,163 SH       SOLE           1    368,163         --       --
CAL MAINE FOODS INC      EQUITY 128030202     12,140     368,000 SH       SOLE           2    368,000         --       --
CALAMOS ASSET
   MANAGEMENT-A          EQUITY 12811R104        310      18,220 SH       SOLE           1     18,220         --       --
CALAMOS CONV & HIGH
   INCOME F              EQUITY 12811P108         91       6,900 SH       DEFINED        4         --         --    6,900
CALAMOS CONV & HIGH
   INCOME F              EQUITY 12811P108        728      54,937 SH       DEFINED        5         --         --   54,937
CALAMOS CONV OPP AND
   INC FD                EQUITY 128117108         26       1,845 SH       DEFINED        4         --         --    1,845
CALAMOS CONV OPP AND
   INC FD                EQUITY 128117108        383      27,192 SH       DEFINED        5         --         --   27,192
CALAMOS STRATEGIC TOTL
   RETN                  EQUITY 128125101         75       6,646 SH       DEFINED        4         --         --    6,646
CALAMOS STRATEGIC TOTL
   RETN                  EQUITY 128125101         16       1,439 SH       DEFINED        5         --         --    1,439
CALAVO GROWERS INC       EQUITY 128246105        115       9,394 SH       SOLE           1      9,394         --       --
CALAVO GROWERS INC COM   EQUITY 128246105      1,090      89,000 SH       SOLE           3      89000         --       --
CALGON CARBON CORP       EQUITY 129603106         10         666 SH       DEFINED        5         --         --      666
CALGON CARBON CORP.      EQUITY 129603106        573      37,063 SH       SOLE           1     37,063         --       --
CALIFORNIA PIZZA
   KITCHEN INC           EQUITY 13054D109        213      19,071 SH       SOLE           1     19,071         --       --
CALIFORNIA WATER
   SERVICE GROUP         EQUITY 130788102        582      17,772 SH       SOLE           1     17,772         --       --
CALIPER LIFE SCIENCES
   INC                   EQUITY 130872104        112      43,284 SH       SOLE           1     43,284         --       --
CALLAWAY GOLF CO.        EQUITY 131193104      2,523     213,237 SH       SOLE           1    213,237         --       --
CALLIDUS SOFTWARE INC    EQUITY 13123E500        136      27,288 SH       SOLE           1     27,288         --       --
CALLON PETROLEUM CO.     EQUITY 13123X102        519      18,979 SH       SOLE           1     18,979         --       --
CAL-MAINE FOODS INC      EQUITY 128030202        388      11,749 SH       SOLE           1     11,749         --       --
CALPINE CORP             EQUITY 131347304         34       1,500 SH       DEFINED        5         --         --    1,500
CALPINE CORP/NEW         EQUITY 131347304      3,089     136,585 SH       SOLE           1    136,585         --       --
CAMBREX CORP.            EQUITY 132011107        155      26,347 SH       SOLE           1     26,347         --       --
CAMDEN NATIONAL CORP     EQUITY 133034108        162       6,970 SH       SOLE           1      6,970         --       --
CAMDEN PROPERTY TRUST    EQUITY 133131102      2,903      65,584 SH       SOLE           1     65,584         --       --
CAMECO CORP              EQUITY 13321L108        318       7,358 SH       OTHER          1         --      7,358       --
CAMECO CORP              EQUITY 13321L108         32         752 SH       DEFINED        4         --         --      752
CAMECO CORP              EQUITY 13321L108         99       2,300 SH       DEFINED        5         --         --    2,300
CAMERON INTERNATIONAL
   CORP                  EQUITY 13342B105      5,046      91,173 SH       SOLE           1     91,173         --       --
CAMERON INTERNATIONAL
   CORP                  EQUITY 13342B105        108       1,958 SH       DEFINED        4         --         --    1,958
CAMERON INTL CORP        EQUITY 13342B105      3,257     112,846 SH       SOLE           2    112,846         --       --
CAMERON INTL CORP COM    EQUITY 13342B105      6,648     120,100 SH       SOLE           3      27400         --    92700
CAMPBELL SOUP CO         EQUITY 134429109        336      10,046 SH       SOLE           2     10,046         --       --
CAMPBELL SOUP CO         EQUITY 134429109         27         800 SH       DEFINED        4         --         --      800
CAMPBELL SOUP CO         EQUITY 134429109          2          50 SH       DEFINED        5         --         --       50
CAMPBELL SOUP CO.        EQUITY 134429109      7,979     238,452 SH       SOLE           1    238,452         --       --
CANADIAN IMPERIAL BANK
   OF COMMERCE           EQUITY 136069101      6,094     110,204 SH       OTHER          1         --    110,204       --
CANADIAN NAT RES LTD     EQUITY 136385101          2          24 SH       DEFINED        4         --         --       24
CANADIAN NATIONAL
   RAILWAY               EQUITY 136375102      6,858     142,090 SH       OTHER          1         --    142,090       --
CANADIAN NATL RY CO      EQUITY 136375102         13         265 SH       DEFINED        5         --         --      265
CANADIAN NATURAL
   RESORUCES             EQUITY 136385101     16,074     161,723 SH       OTHER          1         --    161,723       --
CANADIAN PAC RY LTD      EQUITY 13645T100         10         150 SH       DEFINED        4         --         --      150
CANADIAN PAC RY LTD      EQUITY 13645T100         13         200 SH       DEFINED        5         --         --      200
CANADIAN PACIFIC
   RAILWAY LTD           EQUITY 13645T100      3,814      57,385 SH       OTHER          1         --     57,385       --
CANADIAN SOLAR INC       EQUITY 136635109        880      21,900 SH       SOLE           1     21,900         --       --
CANADIAN SOLAR INC       EQUITY 136635109          6         160 SH       DEFINED        5         --         --      160
CANADIAN SOLAR INC COM
   (F)                   EQUITY 136635109      2,118      52,700 SH       SOLE           3      52700         --       --
CANO PETROLEUM INC       EQUITY 137801106        278      35,048 SH       SOLE           1     35,048         --       --
CANTEL MEDICAL CORP      EQUITY 138098108        114      11,304 SH       SOLE           1     11,304         --       --





                                                                                
CAPELLA EDUCATION CO     EQUITY 139594105        769      12,895 SH       SOLE           1     12,895         --       --
CAPELLA EDUCATION CO     EQUITY 139594105        346       5,800 SH       SOLE           2      5,800         --       --
CAPITAL CITY BANK
   GROUP, INC.           EQUITY 139674105        232      10,668 SH       SOLE           1     10,668         --       --
CAPITAL ONE FINANCIAL
   CORP.                 EQUITY 14040H105     15,452     406,529 SH       SOLE           1    406,529         --       --
CAPITAL ONE FINL CORP    EQUITY 14040H105        117       3,077 SH       SOLE           2      3,077         --       --
CAPITAL ONE FINL CORP    EQUITY 14040H105        245       6,447 SH       DEFINED        5         --         --    6,447
CAPITAL SENIOR LIVING
   CORP                  EQUITY 140475104        152      20,213 SH       SOLE           1     20,213         --       --
CAPITAL SOUTHWEST CORP   EQUITY 140501107        287       2,758 SH       SOLE           1      2,758         --       --
CAPITAL TRUST-CL A       EQUITY 14052H506        289      15,061 SH       SOLE           1     15,061         --       --
CAPITALSOURCE INC        EQUITY 14055X102         59       5,310 SH       SOLE           1      5,310         --       --
CAPITALSOURCE INC        EQUITY 14055X102        938      84,630 SH       DEFINED        5         --         --   84,630
CAPITOL BANCORP LTD      EQUITY 14056D105        117      13,035 SH       SOLE           1     13,035         --       --
CAPITOL BANCORP LTD      EQUITY 14056D105         10       1,125 SH       DEFINED        4         --         --    1,125
CAPITOL BANCORP LTD      EQUITY 14056D105          4         500 SH       DEFINED        5         --         --      500
CAPITOL FED FINL         EQUITY 14057C106         22         574 SH       DEFINED        5         --         --      574
CAPITOL FEDERAL
   FINANCIAL             EQUITY 14057C106      3,097      82,349 SH       SOLE           1     82,349         --       --
CAPSTEAD MORTGAGE CORP.  EQUITY 14067E506        527      48,555 SH       SOLE           1     48,555         --       --
CAPSTEAD MTG CORP        EQUITY 14067E308         11         900 SH       DEFINED        5         --         --      900
CAPSTONE TURBINE COR     EQUITY 14067D102      1,706     407,185 SH       SOLE           1    407,185         --       --
CAPSTONE TURBINE CORP    EQUITY 14067D102      1,006     240,000 SH       SOLE           2    240,000         --       --
CAPSTONE TURBINE CORP
   COM                   EQUITY 14067D102      4,291   1,024,200 SH       SOLE           3    1024200         --       --
CARACO PHARM LABS INC    EQUITY 14075T107        122       9,242 SH       SOLE           1      9,242         --       --
CARBO CERAMICS INC       EQUITY 140781105      1,085      18,597 SH       SOLE           1     18,597         --       --
CARBO CERAMICS INC       EQUITY 140781105         18         300 SH       DEFINED        4         --         --      300
CARDIAC SCIENCE CORP     EQUITY 14141A108        144      17,616 SH       SOLE           1     17,616         --       --
CARDIAC SCIENCE CORP COM EQUITY 14141A108      1,157     141,100 SH       SOLE           3     141100         --       --
CARDICA INC              EQUITY 14141R101          6         700 SH       DEFINED        5         --         --      700
CARDINAL FINANCIAL CORP  EQUITY 14149F109        137      21,887 SH       SOLE           1     21,887         --       --
CARDINAL HEALTH INC      EQUITY 14149Y108     11,096     215,129 SH       SOLE           1    215,129         --       --
CARDINAL HEALTH INC      EQUITY 14149Y108      5,572     108,036 SH       SOLE           2    108,036         --       --
CARDINAL HEALTH INC      EQUITY 14149Y108          5          90 SH       DEFINED        4         --         --       90
CARDINAL HEALTH INC      EQUITY 14149Y108        110       2,131 SH       DEFINED        5         --         --    2,131
CARDIONET INC            EQUITY 14159L103        109       4,075 SH       SOLE           1      4,075         --       --
CARDTRONICS INC          EQUITY 14161H108         97      10,893 SH       SOLE           1     10,893         --       --
CAREER EDUCATION CORP    EQUITY 141665109      3,251     222,523 SH       SOLE           1    222,523         --       --
CAREER EDUCATION CORP    EQUITY 141665109          5         350 SH       DEFINED        4         --         --      350
CARLISLE COS INC.        EQUITY 142339100      4,149     143,054 SH       SOLE           1    143,054         --       --
CARMAX INC               EQUITY 143130102      7,242     510,333 SH       SOLE           1    510,333         --       --
CARNIVAL CORP            EQUITY 143658300      5,877     178,317 SH       SOLE           1    178,317         --       --
CARNIVAL CORP            EQUITY 143658300      2,268      68,815 SH       SOLE           2     68,815         --       --
CARPENTER TECHNOLOGY
   CORP.                 EQUITY 144285103      4,887     111,952 SH       SOLE           1    111,952         --       --
CARRIZO OIL & CO INC     EQUITY 144577103          7         100 SH       DEFINED        5         --         --      100
CARRIZO OIL & GAS INC    EQUITY 144577103      3,204      47,055 SH       SOLE           1     47,055         --       --
CARRIZO OIL & INC COM    EQUITY 144577103        817      12,000 SH       SOLE           3      12000         --       --
CARTER INC               EQUITY 146229109      1,685     121,951 SH       SOLE           1    121,951         --       --
CASCADE BANCORP          EQUITY 147154108        155      20,169 SH       SOLE           1     20,169         --       --
CASCADE CORP             EQUITY 147195101        348       8,215 SH       SOLE           1      8,215         --       --
CASCADE FINL CORP        EQUITY 147272108          8       1,250 SH       DEFINED        5         --         --    1,250
CASELLA WASTE SYSTEMS,
   INC.                  EQUITY 147448104        249      20,392 SH       SOLE           1     20,392         --       --
CASEYS GENERAL STORES,
   INC.                  EQUITY 147528103      1,064      45,937 SH       SOLE           1     45,937         --       --
CASH AMERICA
   INTERNATIONAL         EQUITY 14754D100        818      26,386 SH       SOLE           1     26,386         --       --
CASS INFORMATION
   SYSTEMS INC           EQUITY 14808P109        196       6,132 SH       SOLE           1      6,132         --       --





                                                                                
CASTLE A. M.  & CO.      EQUITY 148411101        428      14,948 SH       SOLE           1     14,948         --       --
CASUAL MALE RETAIL
   GROUP INC             EQUITY 148711104        103      33,755 SH       SOLE           1     33,755         --       --
CATERPILLAR INC          EQUITY 149123101      1,383      18,739 SH       SOLE           2     18,739         --       --
CATERPILLAR INC DEL      EQUITY 149123101        767      10,389 SH       DEFINED        4         --         --   10,389
CATERPILLAR INC DEL      EQUITY 149123101        273       3,694 SH       DEFINED        5         --         --    3,694
CATERPILLAR, INC.        EQUITY 149123101     46,895     635,268 SH       SOLE           1    635,268         --       --
CATHAY GENERAL BANCORP
   INC.                  EQUITY 149150104      1,729     159,066 SH       SOLE           1    159,066         --       --
CATO CORP. CLASS A       EQUITY 149205106        357      25,055 SH       SOLE           1     25,055         --       --
CAVCO INDUSTRIES INC     EQUITY 149568107        192       5,859 SH       SOLE           1      5,859         --       --
CAVIUM NETWORKS INC      EQUITY 14965A101        576      27,429 SH       SOLE           1     27,429         --       --
CAVIUM NETWORKS INC      EQUITY 14965A101          2         100 SH       DEFINED        5         --         --      100
CB RICHARD ELLIS GROUP
   INC                   EQUITY 12497T101          4         198 SH       SOLE           2        198         --       --
CB RICHARD ELLIS GROUP
   INC                   EQUITY 12497T101          6         326 SH       DEFINED        5         --         --      326
CB RICHARD ELLIS GROUP
   INC-A                 EQUITY 12497T101      1,424      74,171 SH       SOLE           1     74,171         --       --
CBEYOND INC              EQUITY 149847105        348      21,692 SH       SOLE           1     21,692         --       --
CBIZ INC                 EQUITY 124805102        322      40,534 SH       SOLE           1     40,534         --       --
CBL & ASSOC PPTYS INC    EQUITY 124830100          1          49 SH       DEFINED        5         --         --       49
CBRL GROUP INC           EQUITY 12489V106          2         100 SH       DEFINED        5         --         --      100
CBRL GROUP, INC.         EQUITY 12489V106      1,747      71,264 SH       SOLE           1     71,264         --       --
CBS CORP CLASS B         EQUITY 124857202      3,418     175,374 SH       SOLE           2    175,374         --       --
CBS CORP NEW             EQUITY 124857202         43       2,211 SH       DEFINED        4         --         --    2,211
CBS CORP NEW             EQUITY 124857202          7         343 SH       DEFINED        5         --         --      343
CBS CORP-CL B            EQUITY 124857202      9,902     508,069 SH       SOLE           1    508,069         --       --
CDI CORP.                EQUITY 125071100        307      12,068 SH       SOLE           1     12,068         --       --
CEC ENTERTAINMENT, INC.  EQUITY 125137109        554      19,788 SH       SOLE           1     19,788         --       --
CEC ENTMT INC            EQUITY 125137109          3         100 SH       DEFINED        5         --         --      100
CEDAR FAIR L P           EQUITY 150185106         44       2,333 SH       DEFINED        4         --         --    2,333
CEDAR FAIR L P           EQUITY 150185106         19       1,000 SH       DEFINED        5         --         --    1,000
CELADON GROUP INC        EQUITY 150838100        198      19,794 SH       SOLE           1     19,794         --       --
CELADON GROUP INC COM    EQUITY 150838100      1,378     137,900 SH       SOLE           3     137900         --       --
CELANESE CORP DE         EQUITY 150870103        160       3,500 SH       SOLE           2      3,500         --       --
CELANESE CORP DEL        EQUITY 150870103         19         420 SH       DEFINED        4         --         --      420
CELANESE CORP DEL        EQUITY 150870103         32         702 SH       DEFINED        5         --         --      702
CELANESE CORP-SERIES A   EQUITY 150870103        168       3,673 SH       SOLE           1      3,673         --       --
CELESTICA INC            EQUITY 15101Q108        555      65,602 SH       OTHER          1         --     65,602       --
CELGENE CORP             EQUITY 151020104     17,845     279,395 SH       SOLE           1    279,395         --       --
CELGENE CORP             EQUITY 151020104      5,374      84,136 SH       SOLE           2     84,136         --       --
CELGENE CORP             EQUITY 151020104         31         478 SH       DEFINED        4         --         --      478
CELGENE CORP             EQUITY 151020104         15         230 SH       DEFINED        5         --         --      230
CELL GENESYS INC         EQUITY 150921104         65      25,000 SH       DEFINED        5         --         --   25,000
CELL GENESYS, INC.       EQUITY 150921104        202      77,782 SH       SOLE           1     77,782         --       --
CELLCOM ISRAEL LTD       EQUITY M2196U109         27         792 SH       DEFINED        4         --         --      792
CEMEX SAB DE CV          EQUITY 151290889         10         423 SH       DEFINED        4         --         --      423
CEMEX SAB DE CV          EQUITY 151290889         83       3,377 SH       DEFINED        5         --         --    3,377
CENTENE CORP DEL         EQUITY 15135B101        660      39,313 SH       SOLE           1     39,313         --       --
CENTENNIAL CELLULAR
   CORP.                 EQUITY 15133V208      1,013     144,916 SH       SOLE           1    144,916         --       --
CENTERPLATE INC          EQUITY 1.52E+208         60      12,350 SH       DEFINED        5         --         --   12,350
CENTERPOINT ENERGY INC   EQUITY 15189T107      2,292     142,798 SH       SOLE           1    142,798         --       --
CENTERPOINT ENERGY INC   EQUITY 15189T107          6         373 SH       SOLE           2        373         --       --
CENTERPOINT ENERGY INC   EQUITY 15189T107         10         600 SH       DEFINED        4         --         --      600
CENTERPOINT ENERGY INC   EQUITY 15189T107         31       1,952 SH       DEFINED        5         --         --    1,952
CENTERSTATE BANKS OF
   FLORIDA INC           EQUITY 15201P109         92       8,365 SH       SOLE           1      8,365         --       --





                                                                                
CENTEX CORP              EQUITY 152312104          2         140 SH       SOLE           2        140         --       --
CENTEX CORP              EQUITY 152312104          1         100 SH       DEFINED        5         --         --      100
CENTEX CORP.             EQUITY 152312104      2,760     206,466 SH       SOLE           1    206,466         --       --
CENTRAL EURO
   DISTRIBUTION CP       EQUITY 153435102         64         869 SH       SOLE           1        869         --       --
CENTRAL EUROPE AND
   RUSSIA FD             EQUITY 153436100         21         400 SH       DEFINED        4         --         --      400
CENTRAL EUROPEAN DIST
   COM                   EQUITY 153435102      5,821      78,500 SH       SOLE           3      33200         --    45300
CENTRAL EUROPEAN DISTR
   COR                   EQUITY 153435102      1,186      16,000 SH       SOLE           2     16,000         --       --
CENTRAL FD CDA LTD       EQUITY 153501101          3         262 SH       DEFINED        4         --         --      262
CENTRAL FD CDA LTD       EQUITY 153501101         39       3,000 SH       DEFINED        5         --         --    3,000
CENTRAL GARDEN AND PET
   CO                    EQUITY 153527205        239      58,312 SH       SOLE           1     58,312         --       --
CENTRAL PACIFIC
   FINANCIAL CO          EQUITY 154760102        277      26,007 SH       SOLE           1     26,007         --       --
CENTRAL VT PUB SVC CORP  EQUITY 155771108         39       2,000 SH       DEFINED        5         --         --    2,000
CENTRAL VT PUB SVC CORP
   COM                   EQUITY 155771108        181       9,359 SH       SOLE           1      9,359         --       --
CENTURY ALUM CO          EQUITY 156431108        110       1,647 SH       DEFINED        5         --         --    1,647
CENTURY ALUMINUM CO.     EQUITY 156431108         55         827 SH       SOLE           1        827         --       --
CENTURYTEL INC           EQUITY 156700106        153       4,310 SH       SOLE           2      4,310         --       --
CENTURYTEL INC           EQUITY 156700106          5         149 SH       DEFINED        4         --         --      149
CENTURYTEL, INC.         EQUITY 156700106      7,066     198,533 SH       SOLE           1    198,533         --       --
CENVEO INC               EQUITY 15670S105        425      43,502 SH       SOLE           1     43,502         --       --
CEPHALON INC             EQUITY 156708109     10,888     163,261 SH       SOLE           1    163,261         --       --
CEPHALON INC             EQUITY 156708109         60         894 SH       DEFINED        4         --         --      894
CEPHALON INC             EQUITY 156708109         13         200 SH       DEFINED        5         --         --      200
CEPHEID                  EQUITY 15670R107      1,450      51,567 SH       SOLE           1     51,567         --       --
CEPHEID                  EQUITY 15670R107      1,265      45,000 SH       SOLE           2     45,000         --       --
CERADYNE INC             EQUITY 156710105        818      23,857 SH       SOLE           1     23,857         --       --
CERADYNE INC             EQUITY 156710105         10         300 SH       DEFINED        5         --         --      300
CERNER CORP              EQUITY 156782104      7,051     156,056 SH       SOLE           1    156,056         --       --
CERNER CORP              EQUITY 156782104         14         300 SH       DEFINED        5         --         --      300
CEVA INC                 EQUITY 157210105        145      18,238 SH       SOLE           1     18,238         --       --
CF INDS HLDGS INC        EQUITY 125269100        695       4,550 SH       SOLE           2      4,550         --       --
CF INDS HLDGS INC        EQUITY 125269100         59         384 SH       DEFINED        4         --         --      384
CF INDS HLDGS INC        EQUITY 125269100        138         900 SH       DEFINED        5         --         --      900
CF INDUSTRIES HOLDINGS
   INC                   EQUITY 125269100     17,312     113,298 SH       SOLE           1    113,298         --       --
CGG VERITAS              EQUITY 204386106         14         300 SH       DEFINED        4         --         --      300
CGI GROUP INC            EQUITY 39945C109        729      72,883 SH       OTHER          1         --     72,883       --
CH ENERGY GROUP INC.     EQUITY 12541M102        508      14,289 SH       SOLE           1     14,289         --       --
CHAMPION ENTERPRISES,
   INC.                  EQUITY 158496109        412      70,363 SH       SOLE           1     70,363         --       --
CHARLES RIVER
   LABORATORIES          EQUITY 159864107     10,185     159,345 SH       SOLE           1    159,345         --       --
CHARLES SCHWAB CORP.     EQUITY 808513105     28,373   1,381,355 SH       SOLE           1  1,381,355         --       --
CHARLOTTE RUSSE HOLDING
   INC                   EQUITY 161048103        335      18,889 SH       SOLE           1     18,889         --       --
CHARMING SHOPPES, INC.   EQUITY 161133103      1,675     364,903 SH       SOLE           1    364,903         --       --
CHART INDS INC           EQUITY 16115Q308        666      13,700 SH       SOLE           2     13,700         --       --
CHART INDS INC COM PAR
   $0.01                 EQUITY 16115Q308        535      11,000 SH       SOLE           3      11000         --       --
CHART INDUSTRIES INC     EQUITY 16115Q308      2,284      46,954 SH       SOLE           1     46,954         --       --
CHARTER COMMUNICATIONS
   INC CLASS A           EQUITY 16117M107        388     369,492 SH       SOLE           1    369,492         --       --
CHARTWELL DIVD & INCOME
   FD I                  EQUITY 16139P104          6       1,000 SH       DEFINED        5         --         --    1,000
CHATTEM INC              EQUITY 162456107      1,012      15,564 SH       SOLE           1     15,564         --       --
CHECK POINT SOFTWARE     EQUITY M22465104      3,252     137,400 SH       SOLE           2    137,400         --       --
CHECK POINT SOFTWARE
   TECH LT               EQUITY M22465104          3         138 SH       DEFINED        5         --         --      138
CHECKPOINT SYSTEMS, INC. EQUITY 162825103        750      35,928 SH       SOLE           1     35,928         --       --
CHEESECAKE FACTORY       EQUITY 163072101      3,434     215,854 SH       SOLE           1    215,854         --       --
CHEESECAKE FACTORY INC   EQUITY 163072101          2         100 SH       DEFINED        5         --         --      100





                                                                                
CHEMED CORP.             EQUITY 16359R103        787      21,495 SH       SOLE           1     21,495         --       --
CHEMICAL FINANCIAL CORP. EQUITY 163731102      1,660      81,381 SH       SOLE           1     81,381         --       --
CHEMTURA CORP            EQUITY 163893100      3,314     567,526 SH       SOLE           1    567,526         --       --
CHENIERE ENERGY INC      EQUITY 16411R208        192      43,976 SH       SOLE           1     43,976         --       --
CHENIERE ENERGY
   PARTNERS LP           EQUITY 16411Q101          4         400 SH       DEFINED        5         --         --      400
CHEROKEE INC DEL NEW     EQUITY 16444H102        137       6,823 SH       SOLE           1      6,823         --       --
CHESAPEAKE ENERGY CORP   EQUITY 165167107      2,503   1,545,547 SH       SOLE           2  1,545,547         --       --
CHESAPEAKE ENERGY CORP   EQUITY 165167107        129       1,960 SH       DEFINED        4         --         --    1,960
CHESAPEAKE ENERGY CORP   EQUITY 165167107        393       5,964 SH       DEFINED        5         --         --    5,964
CHESAPEAKE ENERGY CORP
   CALL                  EQUITY 165167907          6           5     CALL DEFINED        5         --         --        5
CHESAPEAKE ENERGY CORP.  EQUITY 165167107     25,710     389,783 SH       SOLE           1    389,783         --       --
CHESAPEAKE UTILITIES
   CORP                  EQUITY 165303108        159       6,169 SH       SOLE           1      6,169         --       --
CHESAPEAKE UTILS CORP    EQUITY 165303108         12         450 SH       DEFINED        4         --         --      450
CHEVRON CORP             EQUITY 166764100     34,163     344,630 SH       SOLE           2    344,630         --       --
CHEVRON CORP NEW         EQUITY 166764100        803       8,097 SH       DEFINED        4         --         --    8,097
CHEVRON CORP NEW         EQUITY 166764100      1,449      14,614 SH       DEFINED        5         --         --   14,614
CHEVRON CORPORATION      EQUITY 166764100    214,122   2,160,008 SH       SOLE           1  2,160,008         --       --
CHICAGO BRDG + IRON CO
   N V                   EQUITY 167250109     18,066     453,700 SH       SOLE           2    453,700         --       --
CHICAGO BRIDGE & IRON
   CO N V                EQUITY 167250109         24         600 SH       DEFINED        4         --         --      600
CHICAGO BRIDGE & IRON
   CO N V                EQUITY 167250109          3          85 SH       DEFINED        5         --         --       85
CHICAGO BRIDGE & IRON
   CO NV                 EQUITY 167250109      1,792      45,000 SH       SOLE           1     45,000         --       --
CHICOS FAS INC           EQUITY 168615102        108      20,199 SH       DEFINED        5         --         --   20,199
CHICOS'S FAS INC.        EQUITY 168615102      3,048     567,636 SH       SOLE           1    567,636         --       --
CHILDREN'S PLACE, INC.   EQUITY 168905107        764      21,154 SH       SOLE           1     21,154         --       --
CHIMERA INVESTMENT CORP  EQUITY 16934Q109        275      30,556 SH       SOLE           1     30,556         --       --
CHINA ARCHITECTURAL
   ENGINEERING INC       EQUITY 16937S102        165      16,886 SH       SOLE           1     16,886         --       --
CHINA BAK BATTERY INC    EQUITY 16936Y100        129      27,386 SH       SOLE           1     27,386         --       --
CHINA DIRECT INC         EQUITY 169384104         45       6,178 SH       SOLE           1      6,178         --       --
CHINA DIRECT INC         EQUITY 169384104          7       1,000 SH       DEFINED        5         --         --    1,000
CHINA FIN ONLINE CO LTD  EQUITY 169379104         12         800 SH       DEFINED        5         --         --      800
CHINA FIRE & SECURITY
   GROUP INC             EQUITY 16938R103        102      12,680 SH       SOLE           1     12,680         --       --
CHINA INFORMATION
   SECURITY TECHNOLOGY
   INC                   EQUITY 16944F101        117      20,758 SH       SOLE           1     20,758         --       --
CHINA LIFE INS CO LTD    EQUITY 16939P106         19         366 SH       DEFINED        5         --         --      366
CHINA LIFE INSURANCE CO
   LTD                   EQUITY 16939P106     15,624     299,420 SH       SOLE           1    299,420         --       --
CHINA MOBILE LIMITED     EQUITY 16941M109         78       1,165 SH       DEFINED        5         --         --    1,165
CHINA MOBILE LTD         EQUITY 16941M109    103,618   1,547,691 SH       SOLE           1  1,547,691         --       --
CHINA NATURAL RESOURCES
   INC                   EQUITY G2110U109          9         500 SH       DEFINED        5         --         --      500
CHINA PETE & CHEM CORP   EQUITY 16941R108         20         217 SH       DEFINED        4         --         --      217
CHINA PETROLEUM &
   CHEM-ADR              EQUITY 16941R108     29,466     317,210 SH       SOLE           1    317,210         --       --
CHINA PRECISION STEEL
   INC                   EQUITY 16941J106         68      15,549 SH       SOLE           1     15,549         --       --
CHINA PRECISION STEEL
   INC                   EQUITY 16941J106         11       2,508 SH       DEFINED        4         --         --    2,508
CHINA PRECISION STEEL
   INC                   EQUITY 16941J106          8       1,800 SH       DEFINED        5         --         --    1,800
CHINA SECURITY &
   SURVEILLANCE
   TECHNOLOGY INC        EQUITY 16942J105        328      24,343 SH       SOLE           1     24,343         --       --
CHINA SKY ONE MEDICAL
   INC                   EQUITY 16941P102         75       6,727 SH       SOLE           1      6,727         --       --
CHINA TECHFAITH WIRLS
   COMM T                EQUITY 169424108          2         500 SH       DEFINED        5         --         --      500
CHINDEX INTERNATIONAL
   INC                   EQUITY 169467107        147      10,004 SH       SOLE           1     10,004         --       --
CHIPOTLE MEXICAN GRILL
   INC                   EQUITY 169656105      6,358      76,959 SH       SOLE           1     76,959         --       --
CHIPOTLE MEXICAN GRILL
   INC                   EQUITY 169656105         39         469 SH       DEFINED        5         --         --      469
CHIQUITA BRANDS INTL     EQUITY 170032809        595      39,221 SH       SOLE           1     39,221         --       --
CHOICE HOTELS INTL INC.  EQUITY 169905106         24         903 SH       SOLE           1        903         --       --
CHOICEPOINT INC.         EQUITY 170388102     16,876     350,116 SH       SOLE           1    350,116         --       --
CHORDIANT SOFTWARE INC   EQUITY 170404305        136      27,217 SH       SOLE           1     27,217         --       --





                                                                                
CHRISTOPHER & BANKS
   CORPORATIO            EQUITY 171046105        217      31,942 SH       SOLE           1     31,942         --       --
CHUBB CORP               EQUITY 171232101      3,570      72,846 SH       SOLE           2     72,846         --       --
CHUBB CORP               EQUITY 171232101         12         244 SH       DEFINED        4         --         --      244
CHUBB CORP               EQUITY 171232101         12         236 SH       DEFINED        5         --         --      236
CHUBB CORP.              EQUITY 171232101     86,982   1,774,778 SH       SOLE           1  1,774,778         --       --
CHUNGHWA TELECOM CO LTD  EQUITY 17133Q304         61       2,398 SH       DEFINED        4         --         --    2,398
CHURCH & DWIGHT CO.,
   INC.                  EQUITY 171340102      8,747     155,230 SH       SOLE           1    155,230         --       --
CHURCH + DWIGHT INC      EQUITY 171340102        166       2,950 SH       SOLE           2      2,950         --       --
CHURCHILL DOWNS, INC.    EQUITY 171484108        302       8,670 SH       SOLE           1      8,670         --       --
CIA VALE DO RIO DOCE -
   SP ADR                EQUITY 204412100     10,337     346,419 SH       SOLE           1    346,419         --       --
CIA VALE DO RIO DOCE-ADR EQUITY 204412209     30,596     854,160 SH       SOLE           1    854,160         --       --
CIBER, INC.              EQUITY 17163B102        302      48,570 SH       SOLE           1     48,570         --       --
CIENA CORP               EQUITY 171779309      1,465      63,230 SH       SOLE           1     63,230         --       --
CIENA CORP               EQUITY 171779309          2         103 SH       SOLE           2        103         --       --
CIENA CORP               EQUITY 171779309         46       2,001 SH       DEFINED        5         --         --    2,001
CIGNA CORP               EQUITY 125509109         11         319 SH       SOLE           2        319         --       --
CIGNA CORP.              EQUITY 125509109      4,307     121,698 SH       SOLE           1    121,698         --       --
CIMAREX ENERGY CO        EQUITY 171798101     13,533     194,245 SH       SOLE           1    194,245         --       --
CIMAREX ENERGY CO        EQUITY 171798101         14         207 SH       DEFINED        4         --         --      207
CINCINNATI BELL INC      EQUITY 171871106      3,111     781,692 SH       SOLE           1    781,692         --       --
CINCINNATI FINANCIAL
   CORP.                 EQUITY 172062101     13,893     546,952 SH       SOLE           1    546,952         --       --
CINCINNATI FINL CORP     EQUITY 172062101          5         186 SH       SOLE           2        186         --       --
CINCINNATI FINL CORP     EQUITY 172062101          2          60 SH       DEFINED        5         --         --       60
CINEMARK HOLDINGS INC    EQUITY 17243V102        353      27,038 SH       SOLE           1     27,038         --       --
CINTAS CORP              EQUITY 172908105      2,562      96,649 SH       SOLE           2     96,649         --       --
CINTAS CORP.             EQUITY 172908105      1,773      66,893 SH       SOLE           1     66,893         --       --
CIRCOR INTERNATIONAL,
   INC.                  EQUITY 17273K109        747      15,244 SH       SOLE           1     15,244         --       --
CIRCUIT CITY STORE INC   EQUITY 172737108          1         500 SH       DEFINED        5         --         --      500
CIRCUIT CITY STORES INC  EQUITY 172737108      2,888     999,199 SH       SOLE           2    999,199         --       --
CIRCUIT CITY STORES,
   INC.                  EQUITY 172737108        442     152,919 SH       SOLE           1    152,919         --       --
CIRRUS LOGIC, INC.       EQUITY 172755100        327      58,785 SH       SOLE           1     58,785         --       --
CISCO SYS INC            EQUITY 17275R102     18,317     787,498 SH       SOLE           2    787,498         --       --
CISCO SYS INC            EQUITY 17275R102        541      23,277 SH       DEFINED        4         --         --   23,277
CISCO SYS INC            EQUITY 17275R102        495      21,300 SH       DEFINED        5         --         --   21,300
CISCO SYSTEMS, INC.      EQUITY 17275R102    117,863   5,067,203 SH       SOLE           1  5,067,203         --       --
CIT GROUP INC            EQUITY 125581108        852     125,169 SH       SOLE           1    125,169         --       --
CIT GROUP INC            EQUITY 125581108          7       1,000 SH       DEFINED        4         --         --    1,000
CIT GROUP INC            EQUITY 125581108          2         328 SH       DEFINED        5         --         --      328
CIT GROUP INC NEW        EQUITY 125581108         22       3,221 SH       SOLE           2      3,221         --       --
CITADEL BROADCASTING
   CORP                  EQUITY 17285T106        200     164,134 SH       SOLE           1    164,134         --       --
CITI TRENDS INC          EQUITY 17306X102        728      32,134 SH       SOLE           1     32,134         --       --
CITIGROUP INC            EQUITY 172967101     61,125   3,647,083 SH       SOLE           1  3,647,083         --       --
CITIGROUP INC            EQUITY 172967101     19,249   1,713,752 SH       SOLE           2  1,713,752         --       --
CITIGROUP INC            EQUITY 172967101        168      10,001 SH       DEFINED        4         --         --   10,001
CITIGROUP INC            EQUITY 172967101        314      18,729 SH       DEFINED        5         --         --   18,729
CITIZENS & NORTHERN CORP EQUITY 172922106        135       8,124 SH       SOLE           1      8,124         --       --
CITIZENS COMMUNICATIONS
   CO                    EQUITY 17453B101          4         369 SH       SOLE           2        369         --       --
CITIZENS COMMUNICATIONS
   CO                    EQUITY 17453B101         32       2,864 SH       DEFINED        4         --         --    2,864
CITIZENS COMMUNICATIONS
   CO                    EQUITY 17453B101        396      34,963 SH       DEFINED        5         --         --   34,963
CITIZENS COMMUNICATIONS
   INC                   EQUITY 17453B101      2,790     246,033 SH       SOLE           1    246,033         --       --
CITIZENS INC             EQUITY 174740100        207      33,836 SH       SOLE           1     33,836         --       --
CITIZENS REPUBLIC
   BANCORP INC           EQUITY 174420109        194      68,623 SH       SOLE           1     68,623         --       --





                                                                                
CITRIX SYS INC           EQUITY 177376100          6         209 SH       SOLE           2        209         --       --
CITRIX SYS INC           EQUITY 177376100         12         400 SH       DEFINED        4         --         --      400
CITRIX SYSTEMS, INC.     EQUITY 177376100      2,618      89,007 SH       SOLE           1     89,007         --       --
CITY HOLDING CO.         EQUITY 177835105        595      14,605 SH       SOLE           1     14,605         --       --
CITY NATIONAL CORP.      EQUITY 178566105      3,973      94,427 SH       SOLE           1     94,427         --       --
CITYBANK                 EQUITY 17770A109        107      12,395 SH       SOLE           1     12,395         --       --
CKE RESTAURANTS INC      EQUITY 1.2561E+109      592      47,439 SH       SOLE           1     47,439         --       --
CKX INC                  EQUITY 12562M106        417      47,662 SH       SOLE           1     47,662         --       --
CLARCOR INC              EQUITY 179895107        221       6,300 SH       DEFINED        4         --         --    6,300
CLARCOR, INC.            EQUITY 179895107      1,605      45,739 SH       SOLE           1     45,739         --       --
CLAYMORE ETF TRUST 2     EQUITY 18383Q507          8         350 SH       DEFINED        4         --         --      350
CLAYMORE ETF TRUST 2     EQUITY 18383Q507          3         120 SH       DEFINED        5         --         --      120
CLAYMORE EXCHANGE
   TRADED FD             EQUITY 18383M100         51       1,040 SH       DEFINED        4         --         --    1,040
CLAYMORE EXCHANGE
   TRADED FD             EQUITY 18383M100         89       1,802 SH       DEFINED        5         --         --    1,802
CLAYTON WILLIAMS
   ENERGY, INC.          EQUITY 969490101        538       4,890 SH       SOLE           1      4,890         --       --
CLEAN ENERGY FUELS CORP  EQUITY 184499101        227      19,742 SH       SOLE           1     19,742         --       --
CLEAN HARBORS INC        EQUITY 184496107      1,272      17,898 SH       SOLE           1     17,898         --       --
CLEAN HBRS INC           EQUITY 184496107        604       8,500 SH       SOLE           2      8,500         --       --
CLEAR CHANNEL
   COMMUNICATIO          EQUITY 184502102         20         566 SH       SOLE           2        566         --       --
CLEAR CHANNEL
   COMMUNICATIONS        EQUITY 184502102     14,310     406,532 SH       SOLE           1    406,532         --       --
CLEAR CHANNEL
   COMMUNICATIONS        EQUITY 184502102         68       1,941 SH       DEFINED        4         --         --    1,941
CLEAR CHANNEL OUTDOOR
   HLDG                  EQUITY 18451C109      1,255      70,400 SH       SOLE           2     70,400         --       --
CLEAR CHANNEL OUTDOOR
   HOLDINGS INC          EQUITY 18451C109         18       1,024 SH       SOLE           1      1,024         --       --
CLEARWIRE CORP           EQUITY 185385309         21       1,619 SH       SOLE           1      1,619         --       --
CLEARWIRE CORP           EQUITY 185385309          1         100 SH       DEFINED        4         --         --      100
CLEARWIRE CORP           EQUITY 185385309          3         250 SH       DEFINED        5         --         --      250
CLECO CORP               EQUITY 12561W105      1,272      54,530 SH       SOLE           1     54,530         --       --
CLECO CORP NEW           EQUITY 12561W105         70       3,000 SH       DEFINED        4         --         --    3,000
CLECO CORP NEW           EQUITY 12561W105          9         400 SH       DEFINED        5         --         --      400
CLEVELAND CLIFFS INC     EQUITY 185896107      1,120       9,400 SH       SOLE           2      9,400         --       --
CLEVELAND CLIFFS INC     EQUITY 185896107      1,362      11,423 SH       DEFINED        4         --         --   11,423
CLEVELAND CLIFFS INC     EQUITY 185896107         28         234 SH       DEFINED        5         --         --      234
CLEVELAND CLIFFS INC COM EQUITY 185896107     11,526      96,700 SH       SOLE           3      43200         --    53500
CLEVELAND-CLIFFS, INC.   EQUITY 185896107     25,171     211,183 SH       SOLE           1    211,183         --       --
CLIFTON SAVINGS BANCORP
   INC                   EQUITY 18712Q103         93       9,498 SH       SOLE           1      9,498         --       --
CLINICAL DATA INC        EQUITY 18725U109        134       9,390 SH       SOLE           1      9,390         --       --
CLOROX CO                EQUITY 189054109      2,195      42,057 SH       SOLE           2     42,057         --       --
CLOROX CO DEL            EQUITY 189054109         41         789 SH       DEFINED        4         --         --      789
CLOROX CO DEL            EQUITY 189054109         14         276 SH       DEFINED        5         --         --      276
CLOROX CO.               EQUITY 189054109      7,712     147,734 SH       SOLE           1    147,734         --       --
CME GROUP INC            EQUITY 12572Q105      9,023      23,547 SH       SOLE           1     23,547         --       --
CME GROUP INC            EQUITY 12572Q105      2,365       6,172 SH       SOLE           2      6,172         --       --
CME GROUP INC            EQUITY 12572Q105          1           3 SH       DEFINED        4         --         --        3
CME GROUP INC            EQUITY 12572Q105         17          45 SH       DEFINED        5         --         --       45
CMGI INC                 EQUITY 125750307        471      44,395 SH       SOLE           1     44,395         --       --
CMS ENERGY CORP          EQUITY 125896100        338      22,676 SH       SOLE           2     22,676         --       --
CMS ENERGY CORP          EQUITY 125896100          9         606 SH       DEFINED        4         --         --      606
CMS ENERGY CORP.         EQUITY 125896100      1,481      99,410 SH       SOLE           1     99,410         --       --
CNA FINANCIAL CORP       EQUITY 126117100        264      10,509 SH       SOLE           1     10,509         --       --
CNA SURETY CORP.         EQUITY 12612L108        192      15,153 SH       SOLE           1     15,153         --       --
CNET NETWORKS INC.       EQUITY 12613R104      1,622     141,128 SH       SOLE           1    141,128         --       --
CNX GAS CORP             EQUITY 12618H309         27         636 SH       SOLE           1        636         --       --





                                                                                
CNX GAS CORP             EQUITY 12618H309         13         300 SH       DEFINED        5         --         --      300
COACH INC                EQUITY 189754104      4,995     172,964 SH       SOLE           1    172,964         --       --
COACH INC                EQUITY 189754104        482      16,699 SH       SOLE           2     16,699         --       --
COACH INC                EQUITY 189754104         40       1,400 SH       DEFINED        4         --         --    1,400
COACH INC                EQUITY 189754104         61       2,124 SH       DEFINED        5         --         --    2,124
COBIZ FINANCIAL INC      EQUITY 190897108        112      17,074 SH       SOLE           1     17,074         --       --
COCA COLA CO             EQUITY 191216100      4,264      82,023 SH       SOLE           2     82,023         --       --
COCA COLA CO             EQUITY 191216100        143       2,748 SH       DEFINED        4         --         --    2,748
COCA COLA CO             EQUITY 191216100        611      11,752 SH       DEFINED        5         --         --   11,752
COCA COLA ENTERPRISES
   INC                   EQUITY 191219104          6         327 SH       SOLE           2        327         --       --
COCA COLA ENTERPRISES,
   INC.                  EQUITY 191219104      2,213     127,926 SH       SOLE           1    127,926         --       --
COCA COLA FEMSA S A B
   DE C V                EQUITY 191241108        261       4,630 SH       DEFINED        4         --         --    4,630
COCA-COLA BOTTLING CO.   EQUITY 191098102        137       3,694 SH       SOLE           1      3,694         --       --
COCA-COLA CO.            EQUITY 191216100    124,375   2,392,739 SH       SOLE           1  2,392,739         --       --
COEUR D ALENE MINES
   CORP IDA              EQUITY 192108108          9       3,000 SH       DEFINED        4         --         --    3,000
COEUR D'ALENE MINES CORP EQUITY 192108108      1,447     499,029 SH       SOLE           1    499,029         --       --
COGDELL SPENCER INC      EQUITY 19238U107        155       9,557 SH       SOLE           1      9,557         --       --
COGENT COMMUNICATIONS
   GROUP                 EQUITY 19239V302        577      43,093 SH       SOLE           1     43,093         --       --
COGENT INC               EQUITY 19239Y108        423      37,206 SH       SOLE           1     37,206         --       --
COGNEX CORP.             EQUITY 192422103        875      37,953 SH       SOLE           1     37,953         --       --
COGNIZANT TECH SOLUTION  EQUITY 192446102     37,969   1,167,908 SH       SOLE           1  1,167,908         --       --
COGNIZANT TECHNOLOGY
   SOLUT                 EQUITY 192446102      1,734      53,328 SH       SOLE           2     53,328         --       --
COGNIZANT TECHNOLOGY
   SOLUTIO               EQUITY 192446102          1          32 SH       DEFINED        4         --         --       32
COGNIZANT TECHNOLOGY
   SOLUTIO               EQUITY 192446102         73       2,250 SH       DEFINED        5         --         --    2,250
COGO GROUP INC           EQUITY 192448108        213      23,331 SH       SOLE           1     23,331         --       --
COHEN & STEERS ADV INC
   RLTY                  EQUITY 19247W102         66       4,494 SH       DEFINED        4         --         --    4,494
COHEN & STEERS INC       EQUITY 19247A100        395      15,191 SH       SOLE           1     15,191         --       --
COHEN & STEERS PREM INC
   RLTY                  EQUITY 19247V104         28       1,850 SH       DEFINED        4         --         --    1,850
COHEN & STEERS QUALITY
   RLTY                  EQUITY 19247L106         14         900 SH       DEFINED        5         --         --      900
COHEN & STEERS REIT &
   PFD IN                EQUITY 19247X100          8         400 SH       DEFINED        5         --         --      400
COHEN & STEERS REIT &
   UTIL I                EQUITY 19247Y108         28       1,588 SH       DEFINED        5         --         --    1,588
COHEN & STEERS SELECT
   UTIL F                EQUITY 19248A109         12         500 SH       DEFINED        5         --         --      500
COHEN & STEERS TOTAL
   RETURN                EQUITY 19247R103          7         500 SH       DEFINED        4         --         --      500
COHEN & STEERS WRLDWD
   RLT IN                EQUITY 19248J100         31       2,250 SH       DEFINED        4         --         --    2,250
COHERENT, INC.           EQUITY 192479103        640      21,396 SH       SOLE           1     21,396         --       --
COHU, INC.               EQUITY 192576106        307      20,891 SH       SOLE           1     20,891         --       --
COINSTAR, INC            EQUITY 19259P300        828      25,299 SH       SOLE           1     25,299         --       --
COLDWATER CREEK INC      EQUITY 193068103        128      24,295 SH       DEFINED        5         --         --   24,295
COLDWATER CREEK, INC.    EQUITY 193068103      1,005     190,253 SH       SOLE           1    190,253         --       --
COLE, K. PRODUCTIONS,
   INC. CLASS A          EQUITY 193294105        104       8,156 SH       SOLE           1      8,156         --       --
COLEMAN CABLE INC        EQUITY 193459302         74       7,177 SH       SOLE           1      7,177         --       --
COLFAX CORP              EQUITY 194014106        490      19,533 SH       SOLE           1     19,533         --       --
COLGATE PALMOLIVE CO     EQUITY 194162103      1,637      23,695 SH       SOLE           2     23,695         --       --
COLGATE PALMOLIVE CO     EQUITY 194162103         74       1,078 SH       DEFINED        4         --         --    1,078
COLGATE PALMOLIVE CO     EQUITY 194162103        296       4,278 SH       DEFINED        5         --         --    4,278
COLGATE-PALMOLIVE CO.    EQUITY 194162103     59,163     856,196 SH       SOLE           1    856,196         --       --
COLLECTIVE BRANDS INC    EQUITY 19421W100      2,391     205,607 SH       SOLE           1    205,607         --       --
COLONIAL BANCGROUP INC   EQUITY 195493309          9       1,984 SH       DEFINED        4         --         --    1,984
COLONIAL BANCGROUP, INC. EQUITY 195493309      2,997     678,059 SH       SOLE           1    678,059         --       --
COLONIAL PPTYS TR        EQUITY 195872106         71       3,569 SH       DEFINED        4         --         --    3,569
COLUMBIA BANCORP ORE     EQUITY 197231103         10       1,338 SH       DEFINED        4         --         --    1,338
COLUMBIA BANKING
   SYSTEM, INC           EQUITY 197236102        317      16,386 SH       SOLE           1     16,386         --       --





                                                                                
COLUMBIA LABORATORIES
   INC                   EQUITY 197779101        140      42,407 SH       SOLE           1     42,407         --       --
COLUMBIA SPORTSWEAR      EQUITY 198516106        412      11,209 SH       SOLE           1     11,209         --       --
COLUMBIA SPORTSWEAR CO   EQUITY 198516106          9         240 SH       DEFINED        5         --         --      240
COLUMBUS MCKINNON CORP
   NY                    EQUITY 199333105      3,226     133,978 SH       SOLE           2    133,978         --       --
COLUMBUS MCKINNON
   CORP/NY               EQUITY 199333105        414      17,202 SH       SOLE           1     17,202         --       --
COMCAST CORP NEW         EQUITY 20030N101         13         705 SH       DEFINED        4         --         --      705
COMCAST CORP NEW         EQUITY 20030N200          9         476 SH       DEFINED        4         --         --      476
COMCAST CORP NEW         EQUITY 20030N101         69       3,617 SH       DEFINED        5         --         --    3,617
COMCAST CORP NEW         EQUITY 20030N200         53       2,825 SH       DEFINED        5         --         --    2,825
COMCAST CORP-CL A        EQUITY 20030N101     36,414   1,919,559 SH       SOLE           1  1,919,559         --       --
COMERICA INC             EQUITY 200340107         45       1,771 SH       SOLE           2      1,771         --       --
COMERICA INC             EQUITY 200340107         50       1,947 SH       DEFINED        5         --         --    1,947
COMERICA, INC.           EQUITY 200340107      1,701      66,377 SH       SOLE           1     66,377         --       --
COMFORT SYS USA INC      EQUITY 199908104        488      36,338 SH       SOLE           1     36,338         --       --
COMMERCE BANCSHARES      EQUITY 200525103      5,820     146,756 SH       SOLE           1    146,756         --       --
COMMERCE BANCSHARES INC  EQUITY 200525103          2          44 SH       DEFINED        5         --         --       44
COMMERCIAL METALS CO.    EQUITY 201723103     10,084     267,481 SH       SOLE           1    267,481         --       --
COMMERCIAL VEHICLE
   GROUP INC             EQUITY 202608105        182      19,510 SH       SOLE           1     19,510         --       --
COMMSCOPE INC            EQUITY 203372107        148       2,800 SH       SOLE           2      2,800         --       --
COMMSCOPE INC.           EQUITY 203372107      8,600     162,974 SH       SOLE           1    162,974         --       --
COMMUNITY BANK SYSTEM,
   INC.                  EQUITY 203607106        559      27,094 SH       SOLE           1     27,094         --       --
COMMUNITY BK SYS INC     EQUITY 203607106         62       3,000 SH       DEFINED        4         --         --    3,000
COMMUNITY CAP CORP S C   EQUITY 20363C102          1         115 SH       DEFINED        5         --         --      115
COMMUNITY HEALTH SYS     EQUITY 203668108      7,433     225,369 SH       SOLE           1    225,369         --       --
COMMUNITY TRUST BANCORP  EQUITY 204149108        817      31,130 SH       SOLE           1     31,130         --       --
COMMVAULT SYS INC        EQUITY 204166102        391      23,500 SH       SOLE           2     23,500         --       --
COMMVAULT SYSTEMS INC    EQUITY 204166102      2,026     121,747 SH       SOLE           1    121,747         --       --
COMPANHIA DE SANEAMENTO
   BASI                  EQUITY 20441A102         10         200 SH       DEFINED        5         --         --      200
COMPANHIA SIDERURGICA
   NACION                EQUITY 20440W105         49       1,096 SH       DEFINED        4         --         --    1,096
COMPANHIA SIDERURGICA
   NACION                EQUITY 20440W105         18         400 SH       DEFINED        5         --         --      400
COMPANHIA VALE DO RIO
   DOCE                  EQUITY 204412209      4,986     139,200 SH       SOLE           2    139,200         --       --
COMPANHIA VALE DO RIO
   DOCE                  EQUITY 204412209         75       2,080 SH       DEFINED        4         --         --    2,080
COMPANHIA VALE DO RIO
   DOCE                  EQUITY 204412100          1          41 SH       DEFINED        4         --         --       41
COMPANHIA VALE DO RIO
   DOCE                  EQUITY 204412209        145       4,043 SH       DEFINED        5         --         --    4,043
COMPANHIA VALE DO RIO
   DOCE CALL             EQUITY 204412909          1           7     CALL DEFINED        5         --         --        7
COMPANIA DE MINAS
   BUENAVENTU            EQUITY 204448104         23         353 SH       DEFINED        4         --         --      353
COMPANIA DE
   TELECOMUNICS CHI      EQUITY 204449300          1         200 SH       DEFINED        5         --         --      200
COMPASS DIVERSIFIED
   HOLDINGS              EQUITY 20451Q104        247      21,589 SH       SOLE           1     21,589         --       --
COMPASS MINERALS
   INTERNATION           EQUITY 20451N101      2,364      29,345 SH       SOLE           1     29,345         --       --
COMPASS MINERALS INTL
   INC                   EQUITY 20451N101      1,210      15,020 SH       DEFINED        4         --         --   15,020
COMPASS MINERALS INTL
   INC                   EQUITY 20451N101          8         100 SH       DEFINED        5         --         --      100
COMPELLENT TECHNOLOGIES
   INC                   EQUITY 20452A108        147      12,789 SH       SOLE           1     12,789         --       --
COMPLETE PROD SVCS COM   EQUITY 2.0453E+113   13,086     359,300 SH       SOLE           3     151700         --   207600
COMPLETE PRODTN SVCS INC EQUITY 2.0453E+113      783      21,500 SH       SOLE           2     21,500         --       --
COMPLETE PRODUCTION
   SERVICES              EQUITY 2.0453E+113       15         400 SH       DEFINED        4         --         --      400
COMPLETE PRODUCTION
   SERVICES INC          EQUITY 2.0453E+113    2,928      80,388 SH       SOLE           1     80,388         --       --
COMPTON PETE CORP        EQUITY 204940100         13       1,000 SH       DEFINED        5         --         --    1,000
COMPTON PETROLEUM        EQUITY 204940100          6         465 SH       OTHER          1         --        465       --
COMPUCREDIT CORPORATION  EQUITY 20478N100         88      14,588 SH       SOLE           1     14,588         --       --
COMPUTER ASSOC INTL INC  EQUITY 204912AQ2          1           1 PRN      DEFINED        4         --         --        1
COMPUTER PROGRAMS & SY   EQUITY 205306103        145       8,366 SH       SOLE           1      8,366         --       --
COMPUTER PROGRAMS & SYS
   INC                   EQUITY 205306103          7         400 SH       DEFINED        4         --         --      400





                                                                                
COMPUTER SCIENCES CORP   EQUITY 205363104          8         172 SH       SOLE           2        172         --       --
COMPUTER SCIENCES CORP   EQUITY 205363104         10         210 SH       DEFINED        5         --         --      210
COMPUTER SCIENCES CORP.  EQUITY 205363104      5,849     124,878 SH       SOLE           1    124,878         --       --
COMPUWARE CORP           EQUITY 205638109          3         297 SH       SOLE           2        297         --       --
COMPUWARE CORP.          EQUITY 205638109      2,155     225,843 SH       SOLE           1    225,843         --       --
COMSCORE INC             EQUITY 20564W105        355      16,283 SH       SOLE           1     16,283         --       --
COMSCORE INC             EQUITY 20564W105        508      23,300 SH       SOLE           2     23,300         --       --
COMSTOCK RES INC         EQUITY 205768203         13         150 SH       DEFINED        4         --         --      150
COMSTOCK RESOURCES, INC. EQUITY 205768203      3,484      41,264 SH       SOLE           1     41,264         --       --
COMSYS IT PARTNERS INC   EQUITY 2.0581E+108      120      13,181 SH       SOLE           1     13,181         --       --
COMTECH
   TELECOMMUNICATIONS    EQUITY 205826209      1,075      21,935 SH       SOLE           1     21,935         --       --
COMTECH
   TELECOMMUNICATIONS    EQUITY 205826209        613      12,500 SH       SOLE           2     12,500         --       --
COMVERGE INC             EQUITY 205859101        276      19,765 SH       SOLE           1     19,765         --       --
CONAGRA FOODS INC        EQUITY 205887102         13         670 SH       DEFINED        5         --         --      670
CONAGRA INC              EQUITY 205887102         11         554 SH       SOLE           2        554         --       --
CONAGRA, INC.            EQUITY 205887102      6,848     355,191 SH       SOLE           1    355,191         --       --
CONCEPTUS INC            EQUITY 206016107        506      27,363 SH       SOLE           1     27,363         --       --
CONCHO RESOURCES INC     EQUITY 20605P101      1,682      45,086 SH       SOLE           1     45,086         --       --
CONCUR TECHNOLOGIES COM  EQUITY 206708109      1,864      56,100 SH       SOLE           3      56100         --       --
CONCUR TECHNOLOGIES INC  EQUITY 206708109      2,164      65,136 SH       SOLE           1     65,136         --       --
CONMED CORP.             EQUITY 207410101        689      25,953 SH       SOLE           1     25,953         --       --
CONNECTICUT WATER SVC
   INC                   EQUITY 207797101        171       7,619 SH       SOLE           1      7,619         --       --
CONN'S INC               EQUITY 208242107        143       8,868 SH       SOLE           1      8,868         --       --
CONOCOPHILLIPS           EQUITY 20825C104     26,045     275,931 SH       SOLE           2    275,931         --       --
CONOCOPHILLIPS           EQUITY 20825C104         96       1,013 SH       DEFINED        4         --         --    1,013
CONOCOPHILLIPS           EQUITY 20825C104      1,341      14,209 SH       DEFINED        5         --         --   14,209
CONOCOPHILLIPS
   PETROLEUM CO          EQUITY 20825C104     97,517   1,033,130 SH       SOLE           1  1,033,130         --       --
CONS TOMOKA LAND
   CO-FLORIDA            EQUITY 210226106        206       4,908 SH       SOLE           1      4,908         --       --
CONSECO INC              EQUITY 208464883         61       6,118 SH       SOLE           1      6,118         --       --
CONSECO INC              EQUITY 208464883          1         108 SH       DEFINED        5         --         --      108
CONSOL ENERGY INC        EQUITY 20854P109      9,171      81,617 SH       SOLE           1     81,617         --       --
CONSOL ENERGY INC        EQUITY 20854P109         23         208 SH       SOLE           2        208         --       --
CONSOL ENERGY INC        EQUITY 20854P109        213       1,896 SH       DEFINED        4         --         --    1,896
CONSOL ENERGY INC        EQUITY 20854P109        101         900 SH       DEFINED        5         --         --      900
CONSOL ENERGY INC COM    EQUITY 20854P109      6,787      60,400 SH       SOLE           3      24400         --    36000
CONSOLIDATED COMM HLDGS
   INC                   EQUITY 209034107         17       1,150 SH       DEFINED        4         --         --    1,150
CONSOLIDATED
   COMMUNICATIONS        EQUITY 209034107        312      20,986 SH       SOLE           1     20,986         --       --
CONSOLIDATED EDISON INC  EQUITY 209115104         12         310 SH       SOLE           2        310         --       --
CONSOLIDATED EDISON INC  EQUITY 209115104        104       2,669 SH       DEFINED        4         --         --    2,669
CONSOLIDATED EDISON INC  EQUITY 209115104        194       4,973 SH       DEFINED        5         --         --    4,973
CONSOLIDATED EDISON,
   INC.                  EQUITY 209115104      4,717     120,680 SH       SOLE           1    120,680         --       --
CONSOLIDATED GRAPHICS,
   INC.                  EQUITY 209341106        445       9,024 SH       SOLE           1      9,024         --       --
CONSOLIDATED WATER CO
   INC                   EQUITY G23773107         10         500 SH       DEFINED        4         --         --      500
CONSTANT CONTACT INC     EQUITY 210313102        347      18,409 SH       SOLE           1     18,409         --       --
CONSTANT CONTACT INC     EQUITY 210313102        541      28,700 SH       SOLE           2     28,700         --       --
CONSTELLATION BRANDS     EQUITY 21036P108     10,003     503,669 SH       SOLE           1    503,669         --       --
CONSTELLATION BRANDS INC EQUITY 21036P108         22       1,099 SH       DEFINED        5         --         --    1,099
CONSTELLATION ENERGY
   GROUP                 EQUITY 210371100        129       1,573 SH       SOLE           2      1,573         --       --
CONSTELLATION ENERGY
   GROUP I               EQUITY 210371100          2          22 SH       DEFINED        5         --         --       22
CONSTELLATION ENERGY
   GRUOP INC             EQUITY 210371100     55,525     676,312 SH       SOLE           1    676,312         --       --
CONTANGO OIL & GAS CO    EQUITY 21075N204      1,106      11,901 SH       SOLE           1     11,901         --       --
CONTINENTAL AIRLS INC
   COM CL B              EQUITY 210795308         52       5,177 SH       SOLE           1      5,177         --       --





                                                                                
CONTINENTAL RESOURCES
   INC                   EQUITY 212015101         21         300 SH       DEFINED        4         --         --      300
CONTINENTAL RESOURCES
   INC/OK                EQUITY 212015101         47         685 SH       SOLE           1        685         --       --
CONVERGYS CORP           EQUITY 212485106      2,014     135,550 SH       SOLE           1    135,550         --       --
CONVERGYS CORP           EQUITY 212485106          2         140 SH       SOLE           2        140         --       --
CONVERGYS CORP           EQUITY 212485106          9         600 SH       DEFINED        5         --         --      600
CON-WAY INC              EQUITY 205944101      5,049     106,835 SH       SOLE           1    106,835         --       --
CON-WAY INC              EQUITY 205944101         54       1,148 SH       DEFINED        5         --         --    1,148
COOPER COMPANIES, INC.   EQUITY 216648402         55       1,491 SH       SOLE           1      1,491         --       --
COOPER INDUSTRIES LTD    EQUITY G24182100          8         198 SH       SOLE           2        198         --       --
COOPER TIRE & RUBBER CO  EQUITY 216831107        418      53,354 SH       SOLE           1     53,354         --       --
COPART, INC.             EQUITY 217204106      6,793     158,641 SH       SOLE           1    158,641         --       --
CORE LABORATORIES N V    EQUITY N22717107         14         100 SH       DEFINED        5         --         --      100
CORE LABORATORIES NV     EQUITY N22717107        754       5,300 SH       SOLE           2      5,300         --       --
CORE-MARK HOLDING CO INC EQUITY 218681104        223       8,523 SH       SOLE           1      8,523         --       --
CORINTHIAN COLLEGES INC  EQUITY 218868107      3,180     273,934 SH       SOLE           1    273,934         --       --
CORN PRODUCTS
   INTERNATIONAL         EQUITY 219023108      8,533     173,756 SH       SOLE           1    173,756         --       --
CORNELL COMPANIES INC    EQUITY 219141108      1,284      53,264 SH       SOLE           1     53,264         --       --
CORNELL COMPANIES INC
   COM                   EQUITY 219141108      2,059      85,400 SH       SOLE           3      85400         --       --
CORNING INC              EQUITY 219350105     11,103     481,696 SH       SOLE           2    481,696         --       --
CORNING INC              EQUITY 219350105        303      13,126 SH       DEFINED        4         --         --   13,126
CORNING INC              EQUITY 219350105      1,233      53,491 SH       DEFINED        5         --         --   53,491
CORNING, INC.            EQUITY 219350105     64,919   2,816,460 SH       SOLE           1  2,816,460         --       --
CORP EXEC BOARD CO.      EQUITY 21988R102      3,351      79,685 SH       SOLE           1     79,685         --       --
CORPORATE EXECUTIVE BRD
   CO                    EQUITY 21988R102        140       3,325 SH       DEFINED        4         --         --    3,325
CORPORATE EXECUTIVE BRD
   CO                    EQUITY 21988R102         76       1,800 SH       DEFINED        5         --         --    1,800
CORPORATE OFFICE PPTYS
   TR                    EQUITY 22002T108          1          43 SH       DEFINED        5         --         --       43
CORPORATE OFFICE
   PROPERTIES TRUST SBI
   MD                    EQUITY 22002T108      7,295     212,490 SH       SOLE           1    212,490         --       --
CORRECTIONS CORP AMER
   NEW                   EQUITY 22025Y407          3         100 SH       DEFINED        4         --         --      100
CORRECTIONS CORP. OF
   AMERICA               EQUITY 22025Y407      8,022     292,022 SH       SOLE           1    292,022         --       --
CORUS BANKSHARES, INC.   EQUITY 220873103        142      34,151 SH       SOLE           1     34,151         --       --
CORUS ENTERTAINMENT INC  EQUITY 220874101        511      28,556 SH       OTHER          1         --     28,556       --
CORVEL CORP.             EQUITY 221006109        246       7,262 SH       SOLE           1      7,262         --       --
COSTAR GROUP, INC.       EQUITY 22160N109        786      17,691 SH       SOLE           1     17,691         --       --
COSTCO COMPANIES INC     EQUITY 22160QAC6          5           3 PRN      DEFINED        4         --         --        3
COSTCO WHOLESALE
   CORPORATION           EQUITY 22160K105     19,870     283,291 SH       SOLE           1    283,291         --       --
COSTCO WHSL CORP NEW     EQUITY 22160K105      1,437      20,493 SH       SOLE           2     20,493         --       --
COSTCO WHSL CORP NEW     EQUITY 22160K105        128       1,823 SH       DEFINED        4         --         --    1,823
COSTCO WHSL CORP NEW     EQUITY 22160K105        160       2,285 SH       DEFINED        5         --         --    2,285
COUGAR BIOTECHNOLOGY INC EQUITY 222083107        322      13,508 SH       SOLE           1     13,508         --       --
COUNTRYWIDE FINANCIAL    EQUITY 222372104      2,985     702,265 SH       SOLE           1    702,265         --       --
COUNTRYWIDE FINANCIAL
   CORP                  EQUITY 222372104        145      34,170 SH       DEFINED        5         --         --   34,170
COURIER CORP             EQUITY 222660102        190       9,456 SH       SOLE           1      9,456         --       --
COUSINS PPTYS INC        EQUITY 222795106          7         318 SH       DEFINED        4         --         --      318
COUSINS PROPERTIES, INC. EQUITY 222795106      2,946     127,554 SH       SOLE           1    127,554         --       --
COVANCE INC              EQUITY 222816100         23         273 SH       DEFINED        5         --         --      273
COVANCE INC COM          EQUITY 222816100      7,017      81,573 SH       SOLE           3      32700         --    48873
COVANCE INC.             EQUITY 222816100     12,623     146,747 SH       SOLE           1    146,747         --       --
COVANTA HOLDING CORP     EQUITY 2.2282E+106       74       2,776 SH       SOLE           1      2,776         --       --
COVENTRY HEALTH CARE INC EQUITY 222862104          5         172 SH       SOLE           2        172         --       --
COVENTRY HEALTH CARE,
   INC.                  EQUITY 222862104      1,978      65,024 SH       SOLE           1     65,024         --       --
COVIDIEN LTD             EQUITY G2552X108         27         568 SH       SOLE           2        568         --       --
COVIDIEN LTD             EQUITY G2552X108        113       2,350 SH       DEFINED        4         --         --    2,350





                                                                                
COVIDIEN LTD             EQUITY G2552X108        407       8,496 SH       DEFINED        5         --         --    8,496
COX RADIO INC-CL A       EQUITY 224051102        274      23,225 SH       SOLE           1     23,225         --       --
CPFL ENERGIA S A         EQUITY 126153105         29         421 SH       DEFINED        4         --         --      421
CPFL ENERGIA S A         EQUITY 126153105          7         100 SH       DEFINED        5         --         --      100
CPI INTERNATIONAL INC    EQUITY 12618M100        106       8,615 SH       SOLE           1      8,615         --       --
CRA INTERNATIONAL INC    EQUITY 12618T105        361       9,976 SH       SOLE           1      9,976         --       --
CRA INTL INC             EQUITY 12618T105         11         317 SH       DEFINED        4         --         --      317
CRANE CO.                EQUITY 224399105      4,580     118,880 SH       SOLE           1    118,880         --       --
CRAWFORD & CO. CLASS B   EQUITY 224633107        175      21,896 SH       SOLE           1     21,896         --       --
CRAY INC                 EQUITY 225223304        138      29,849 SH       SOLE           1     29,849         --       --
CREDICORP LTD            EQUITY G2519Y108        537       6,540 SH       DEFINED        4         --         --    6,540
CREDIT ACCEPTANCE CORP.  EQUITY 225310101        138       5,386 SH       SOLE           1      5,386         --       --
CREDIT SUISSE ASSET
   MGMT INC              EQUITY 224916106          4       1,330 SH       DEFINED        4         --         --    1,330
CREDIT SUISSE GROUP      EQUITY 225401108         22         485 SH       DEFINED        4         --         --      485
CREDIT SUISSE GROUP      EQUITY 225401108          6         131 SH       DEFINED        5         --         --      131
CREE INC                 EQUITY 225447101      4,785     209,796 SH       SOLE           1    209,796         --       --
CREE INC                 EQUITY 225447101         68       2,975 SH       DEFINED        4         --         --    2,975
CRESUD SA                EQUITY 226406106        910      61,257 SH       SOLE           1     61,257         --       --
CROCS INC                EQUITY 227046109        604      75,386 SH       SOLE           1     75,386         --       --
CROCS INC                EQUITY 227046109          7         927 SH       DEFINED        4         --         --      927
CROCS INC                EQUITY 227046109         35       4,320 SH       DEFINED        5         --         --    4,320
CROSS COUNTRY
   HEALTHCARE INC        EQUITY 227483104        400      27,770 SH       SOLE           1     27,770         --       --
CROSSTEX ENERGY INC      EQUITY 22765Y104      1,263      36,432 SH       SOLE           1     36,432         --       --
CROWN CASTLE
   INTERNATIONAL         EQUITY 228227104      4,056     104,727 SH       SOLE           1    104,727         --       --
CROWN CASTLE INTL CORP   EQUITY 228227104          4         112 SH       DEFINED        4         --         --      112
CROWN HOLDINGS INC       EQUITY 228368106         96       3,694 SH       SOLE           1      3,694         --       --
CROWN HOLDINGS INC       EQUITY 228368106         21         800 SH       DEFINED        4         --         --      800
CROWN MEDIA
   HOLDINGS-CLASS A      EQUITY 228411104         47       9,871 SH       SOLE           1      9,871         --       --
CRYOLIFE INC.            EQUITY 228903100        288      25,209 SH       SOLE           1     25,209         --       --
CRYSTAL RIV CAP INC      EQUITY 229393301          4       1,100 SH       DEFINED        5         --         --    1,100
CRYSTAL RIVER CAPITAL
   INC                   EQUITY 229393301      1,469     401,473 SH       SOLE           1    401,473         --       --
CSG SYSTEMS
   INTERNATIONAL, INC    EQUITY 126349109        350      31,738 SH       SOLE           1     31,738         --       --
CSK AUTO CORP            EQUITY 125965103        418      39,889 SH       SOLE           1     39,889         --       --
CSS INDUSTRIES, INC.     EQUITY 125906107        172       7,091 SH       SOLE           1      7,091         --       --
CSX CORP                 EQUITY 126408103     23,195     369,284 SH       SOLE           1    369,284         --       --
CSX CORP                 EQUITY 126408103        764      85,960 SH       SOLE           2     85,960         --       --
CSX CORP                 EQUITY 126408103         57         901 SH       DEFINED        4         --         --      901
CSX CORP                 EQUITY 126408103         18         280 SH       DEFINED        5         --         --      280
CTC MEDIA INC            EQUITY 12642X106         30       1,212 SH       SOLE           1      1,212         --       --
CTRIP COM INTL LTD       EQUITY 22943F100          5         100 SH       DEFINED        5         --         --      100
CTS CORP.                EQUITY 126501105        306      30,471 SH       SOLE           1     30,471         --       --
CUBIC CORP.              EQUITY 229669106        314      14,114 SH       SOLE           1     14,114         --       --
CUBIST PHARMA INC        EQUITY 229678107        912      51,080 SH       SOLE           1     51,080         --       --
CUBIST PHARMACEUTICALS
   INC                   EQUITY 229678107          8         449 SH       DEFINED        5         --         --      449
CULLEN FROST BANKERS INC EQUITY 229899109          5         109 SH       DEFINED        4         --         --      109
CULLEN FROST BANKERS INC EQUITY 229899109         10         207 SH       DEFINED        5         --         --      207
CULLEN/FROST BANKERS     EQUITY 229899109      6,872     137,848 SH       SOLE           1    137,848         --       --
CUMMINS INC              EQUITY 231021106      7,697     117,469 SH       SOLE           1    117,469         --       --
CUMMINS INC              EQUITY 231021106        173       2,641 SH       SOLE           2      2,641         --       --
CUMMINS INC              EQUITY 231021106          6          96 SH       DEFINED        4         --         --       96
CUMMINS INC              EQUITY 231021106         13         200 SH       DEFINED        5         --         --      200
CUMULUS MEDIA, INC.      EQUITY 231082108         94      23,891 SH       SOLE           1     23,891         --       --





                                                                                
CURRENCY SHARES EURO TR  EQUITY 23130C108      1,689      10,703 SH       DEFINED        4         --         --   10,703
CURRENCY SHARES EURO TR  EQUITY 23130C108          7          42 SH       DEFINED        5         --         --       42
CURRENCYSHARES
   AUSTRALIAN DL         EQUITY 23129U101         42         435 SH       DEFINED        4         --         --      435
CURRENCYSHARES
   AUSTRALIAN DL         EQUITY 23129U101          2          20 SH       DEFINED        5         --         --       20
CURRENCYSHARES CDN DLR
   TR                    EQUITY 23129X105         44         450 SH       DEFINED        4         --         --      450
CURRENCYSHARES SWEDISH
   KRONA                 EQUITY 23129R108          5          30 SH       DEFINED        4         --         --       30
CURRENCYSHARES SWISS
   FRANC T               EQUITY 23129V109          5          50 SH       DEFINED        4         --         --       50
CURRENCYSHARES SWISS
   FRANC T               EQUITY 23129V109         27         280 SH       DEFINED        5         --         --      280
CURRENCYSHS BRIT POUND
   STER                  EQUITY 23129S106          9          45 SH       DEFINED        4         --         --       45
CURRENCYSHS BRIT POUND
   STER                  EQUITY 23129S106          5          25 SH       DEFINED        5         --         --       25
CURRENCYSHS JAPANESE
   YEN TR                EQUITY 23130A102         10         108 SH       DEFINED        4         --         --      108
CURRENCYSHS JAPANESE
   YEN TR                EQUITY 23130A102         26         280 SH       DEFINED        5         --         --      280
CURTISS-WRIGHT CORP.     EQUITY 231561101      1,813      40,533 SH       SOLE           1     40,533         --       --
CUSHING MLP TOTAL
   RETURN FD             EQUITY 231631102         21       1,250 SH       DEFINED        5         --         --    1,250
CV THERAPEUTICS, INC.    EQUITY 126667104        453      55,013 SH       SOLE           1     55,013         --       --
CVB FINANCIAL CORP       EQUITY 126600105        566      59,919 SH       SOLE           1     59,919         --       --
CVR ENERGY INC           EQUITY 12662P108        401      20,834 SH       SOLE           1     20,834         --       --
CVS CAREMARK CORP        EQUITY 126650100     43,141   1,090,238 SH       SOLE           1  1,090,238         --       --
CVS CAREMARK CORP        EQUITY 126650100     17,243     581,959 SH       SOLE           2    581,959         --       --
CVS CAREMARK CORPORATION EQUITY 126650100         38         958 SH       DEFINED        4         --         --      958
CVS CAREMARK CORPORATION EQUITY 126650100        261       6,590 SH       DEFINED        5         --         --    6,590
CYBERONICS               EQUITY 23251P102        467      21,510 SH       SOLE           1     21,510         --       --
CYBERSOURCE CORP         EQUITY 23251J106      1,045      62,490 SH       SOLE           1     62,490         --       --
CYBERSOURCE CORP DEL     EQUITY 23251J106        358      21,400 SH       SOLE           2     21,400         --       --
CYMER INC                EQUITY 232572107         11         399 SH       DEFINED        5         --         --      399
CYMER, INC.              EQUITY 232572107        739      27,495 SH       SOLE           1     27,495         --       --
CYNOSURE INC             EQUITY 232577205        172       8,655 SH       SOLE           1      8,655         --       --
CYPRESS BIOSCIENCE INC   EQUITY 232674507        244      34,003 SH       SOLE           1     34,003         --       --
CYPRESS SEMICONDUCTOR
   CORP                  EQUITY 232806109         39       1,565 SH       DEFINED        5         --         --    1,565
CYPRESS SEMICONDUCTOR
   CORP.                 EQUITY 232806109      8,699     351,466 SH       SOLE           1    351,466         --       --
CYTEC INDS INC           EQUITY 232820100          4          75 SH       DEFINED        4         --         --       75
CYTEC INDUSTRIES, INC.   EQUITY 232820100      5,373      98,478 SH       SOLE           1     98,478         --       --
CYTOKINETICS INC         EQUITY 23282W100        117      31,664 SH       SOLE           1     31,664         --       --
CYTORI THERAPEUTICS INC  EQUITY 23283K105        117      18,042 SH       SOLE           1     18,042         --       --
CYTORI THERAPEUTICS INC  EQUITY 23283K105          1         200 SH       DEFINED        5         --         --      200
CYTRX CORP               EQUITY 232828301         13      20,000 SH       DEFINED        4         --         --   20,000
CYTRX CORP               EQUITY 232828301          4       6,000 SH       DEFINED        5         --         --    6,000
D R HORTON INC           EQUITY 23331A109      1,638     151,012 SH       SOLE           2    151,012         --       --
D.R. HORTON INC          EQUITY 23331A109      4,702     433,374 SH       SOLE           1    433,374         --       --
DAIMLER AG               EQUITY D1668R123          8         135 SH       DEFINED        5         --         --      135
DAKTRONICS INC           EQUITY 234264109         40       2,000 SH       DEFINED        4         --         --    2,000
DANA HOLDING CORP        EQUITY 235825205        480      89,664 SH       SOLE           1     89,664         --       --
DANAHER CORP             EQUITY 235851102      7,367      95,310 SH       SOLE           2     95,310         --       --
DANAHER CORP DEL         EQUITY 235851102         14         183 SH       DEFINED        4         --         --      183
DANAHER CORP DEL         EQUITY 235851102         71         920 SH       DEFINED        5         --         --      920
DANAHER CORP.            EQUITY 235851102     23,352     302,100 SH       SOLE           1    302,100         --       --
DANAOS CORPORATION       EQUITY Y1968P105          7         300 SH       DEFINED        5         --         --      300
DANVERS BANCORP INC      EQUITY 236442109        178      16,163 SH       SOLE           1     16,163         --       --
DARDEN RESTAURANTS INC   EQUITY 237194105         98       3,059 SH       SOLE           2      3,059         --       --
DARDEN RESTAURANTS INC   EQUITY 237194105          9         275 SH       DEFINED        4         --         --      275
DARDEN RESTAURANTS INC   EQUITY 237194105          2          50 SH       DEFINED        5         --         --       50
DARDEN RESTAURANTS, INC. EQUITY 237194105      1,885      59,002 SH       SOLE           1     59,002         --       --





                                                                                
DARLING INTERNATIONAL
   INC                   EQUITY 237266101      2,366     143,213 SH       SOLE           1    143,213         --       --
DARLING INTL INC         EQUITY 237266101        372      22,500 SH       SOLE           2     22,500         --       --
DARLING INTL INC         EQUITY 237266101          3         200 SH       DEFINED        4         --         --      200
DARLING INTL INC         EQUITY 237266101          5         300 SH       DEFINED        5         --         --      300
DARLING INTL INC COM     EQUITY 237266101      1,543      93,400 SH       SOLE           3      93400         --       --
DARWIN PROFESSIONAL
   UNDERWRITERS INC      EQUITY 237502109        214       6,948 SH       SOLE           1      6,948         --       --
DATA DOMAIN INC          EQUITY 23767P109        698      29,925 SH       SOLE           1     29,925         --       --
DATASCOPE CORP.          EQUITY 238113104        560      11,916 SH       SOLE           1     11,916         --       --
DAVITA INC               EQUITY 23918K108        138       2,588 SH       SOLE           1      2,588         --       --
DAWSON GEOPHYSICAL CO    EQUITY 239359102        416       7,002 SH       SOLE           1      7,002         --       --
DCT INDUSTRIAL TRUST INC EQUITY 233153105        209      25,227 SH       DEFINED        4         --         --   25,227
DEALERTRACK HLDGS INC    EQUITY 242309102        545      38,616 SH       SOLE           1     38,616         --       --
DEAN FOODS CO            EQUITY 242370104      7,789     396,999 SH       SOLE           1    396,999         --       --
DEAN FOODS CO NEW        EQUITY 242370104          3         173 SH       SOLE           2        173         --       --
DEAN FOODS CO NEW        EQUITY 242370104          3         173 SH       DEFINED        4         --         --      173
DECKERS OUTDOOR CORP     EQUITY 243537107      2,925      21,011 SH       SOLE           1     21,011         --       --
DECKERS OUTDOOR CORP     EQUITY 243537107      1,336       9,600 SH       SOLE           2      9,600         --       --
DECKERS OUTDOOR CORP     EQUITY 243537107         38         271 SH       DEFINED        4         --         --      271
DECKERS OUTDOOR CORP COM EQUITY 243537107        668       4,800 SH       SOLE           3       4800         --       --
DEERE & CO               EQUITY 244199105         51         710 SH       DEFINED        4         --         --      710
DEERE & CO               EQUITY 244199105        151       2,094 SH       DEFINED        5         --         --    2,094
DEERE & CO.              EQUITY 244199105     23,266     322,559 SH       SOLE           1    322,559         --       --
DEERE + CO               EQUITY 244199105      3,678      50,990 SH       SOLE           2     50,990         --       --
DEERFIELD CAPITAL CORP   EQUITY 244331104          2       2,000 SH       DEFINED        4         --         --    2,000
DEL MONTE                EQUITY 24522P103         46       6,536 SH       SOLE           1      6,536         --       --
DEL MONTE FOODS CO       EQUITY 24522P103         10       1,361 SH       DEFINED        5         --         --    1,361
DELAWARE INV MN MUN INC
   FD I                  EQUITY 24610V103         22       1,700 SH       DEFINED        4         --         --    1,700
DELEK US HOLDINGS INC    EQUITY 246647101        111      12,007 SH       SOLE           1     12,007         --       --
DELL INC                 EQUITY 24702R101     31,593   1,443,930 SH       SOLE           1  1,443,930         --       --
DELL INC                 EQUITY 24702R101        210       9,608 SH       SOLE           2      9,608         --       --
DELL INC                 EQUITY 24702R101        241      11,022 SH       DEFINED        4         --         --   11,022
DELL INC                 EQUITY 24702R101         94       4,296 SH       DEFINED        5         --         --    4,296
DELPHI FINANCIAL GROUP,
   INC., CLASS A         EQUITY 247131105        866      37,431 SH       SOLE           1     37,431         --       --
DELTA AIR LINES INC      EQUITY 247361702         47       8,217 SH       SOLE           1      8,217         --       --
DELTA AIR LINES INC DEL  EQUITY 247361702         16       2,729 SH       DEFINED        4         --         --    2,729
DELTA NAT GAS INC        EQUITY 247748106          3         100 SH       DEFINED        4         --         --      100
DELTA PETROLEUM CORP     EQUITY 247907207      1,436      56,288 SH       SOLE           1     56,288         --       --
DELTEK INC               EQUITY 24784L105         86      11,400 SH       SOLE           1     11,400         --       --
DELTIC TIMBER CORP.      EQUITY 247850100        510       9,526 SH       SOLE           1      9,526         --       --
DELUXE CORP              EQUITY 248019101          4         239 SH       DEFINED        4         --         --      239
DELUXE CORP              EQUITY 248019101          4         200 SH       DEFINED        5         --         --      200
DELUXE CORP.             EQUITY 248019101      2,954     165,750 SH       SOLE           1    165,750         --       --
DEMANDTEC INC            EQUITY 24802R506        134      17,781 SH       SOLE           1     17,781         --       --
DENBURY RESOURCES INC    EQUITY 247916208     20,961     574,262 SH       SOLE           1    574,262         --       --
DENDREON CORP            EQUITY 24823Q107        376      84,425 SH       SOLE           1     84,425         --       --
DENDREON CORP            EQUITY 24823Q107        429      96,300 SH       DEFINED        5         --         --   96,300
DENISON MINES CORP       EQUITY 248356107        212      24,123 SH       OTHER          1         --     24,123       --
DENISON MINES CORP       EQUITY 248356107          4         500 SH       DEFINED        5         --         --      500
DENNY'S CORPORATION      EQUITY 24869P104        244      86,043 SH       SOLE           1     86,043         --       --
DENTSPLY INTERNATIONAL
   INC.                  EQUITY 249030107     15,278     415,167 SH       SOLE           1    415,167         --       --
DENTSPLY INTL INC NEW    EQUITY 249030107         29         792 SH       DEFINED        4         --         --      792
DENTSPLY INTL INC NEW    EQUITY 249030107          9         241 SH       DEFINED        5         --         --      241





                                                                                
DEPOMED INC              EQUITY 249908104        140      43,507 SH       SOLE           1     43,507         --       --
DEUTSCHE BANK AG         EQUITY D18190898          2          19 SH       DEFINED        4         --         --       19
DEVELOPERS DIVERSIFIED
   RLT                   EQUITY 251591103          5         136 SH       SOLE           2        136         --       --
DEVELOPERS DIVERSIFIED
   RLTY                  EQUITY 251591103         44       1,275 SH       DEFINED        4         --         --    1,275
DEVELOPERS DIVERSIFIED
   RLTY                  EQUITY 251591103          7         203 SH       DEFINED        5         --         --      203
DEVON ENERGY CORP NEW    EQUITY 25179M103         66         553 SH       DEFINED        4         --         --      553
DEVON ENERGY CORP NEW    EQUITY 25179M103        415       3,454 SH       DEFINED        5         --         --    3,454
DEVON ENERGY CORP.       EQUITY 25179M103     30,525     254,036 SH       SOLE           1    254,036         --       --
DEVON ENERGY
   CORPORATION N         EQUITY 25179M103      1,178       9,807 SH       SOLE           2      9,807         --       --
DEVRY, INC.              EQUITY 251893103      7,497     139,810 SH       SOLE           1    139,810         --       --
DEXCOM INC               EQUITY 252131107        144      23,764 SH       SOLE           1     23,764         --       --
DG FASTCHANNEL INC       EQUITY 23326R109        239      13,834 SH       SOLE           1     13,834         --       --
DG FASTCHANNEL INC COM   EQUITY 23326R109      1,397      81,000 SH       SOLE           3      81000         --       --
DIAGEO P L C             EQUITY 25243Q205         15         200 SH       DEFINED        4         --         --      200
DIAGEO P L C             EQUITY 25243Q205         19         258 SH       DEFINED        5         --         --      258
DIAGEO PLC               EQUITY 25243Q205        210       2,841 SH       SOLE           2      2,841         --       --
DIAMOND FOODS INC        EQUITY 252603105        335      14,542 SH       SOLE           1     14,542         --       --
DIAMOND HILL INVESTMENT
   GROU                  EQUITY 25264R207          8         100 SH       DEFINED        5         --         --      100
DIAMOND HILL INVESTMENT
   GROUP INC             EQUITY 25264R207        156       1,864 SH       SOLE           1      1,864         --       --
DIAMOND OFFSHORE
   DRILLING              EQUITY 25271C102        264       1,898 SH       SOLE           1      1,898         --       --
DIAMOND OFFSHORE
   DRILLING IN           EQUITY 25271C102        297       2,134 SH       DEFINED        5         --         --    2,134
DIAMONDROCK HOSPITALITY
   CO                    EQUITY 252784301        935      85,852 SH       SOLE           1     85,852         --       --
DIAMONDS TR              EQUITY 252787106          6          55 SH       DEFINED        4         --         --       55
DIAMONDS TR              EQUITY 252787106        132       1,168 SH       DEFINED        5         --         --    1,168
DIANA SHIPPING INC       EQUITY Y2066G104          1          40 SH       DEFINED        4         --         --       40
DIANA SHIPPING INC       EQUITY Y2066G104        112       3,650 SH       DEFINED        5         --         --    3,650
DICE HOLDINGS INC        EQUITY 253017107        118      14,248 SH       SOLE           1     14,248         --       --
DICKS SPORTING GOODS INC EQUITY 253393102         35       2,000 SH       SOLE           2      2,000         --       --
DICK'S SPORTING GOODS
   INC                   EQUITY 253393102      3,460     195,044 SH       SOLE           1    195,044         --       --
DIEBOLD, INC.            EQUITY 253651103      5,466     153,624 SH       SOLE           1    153,624         --       --
DIGI INTERNATIONAL INC   EQUITY 253798102        183      23,348 SH       SOLE           1     23,348         --       --
DIGI INTL INC            EQUITY 253798102          2         200 SH       DEFINED        5         --         --      200
DIGIMARC CORP            EQUITY 253807101        260      18,327 SH       SOLE           1     18,327         --       --
DIGITAL ALLY INC         EQUITY 25382P109          9       1,000 SH       DEFINED        5         --         --    1,000
DIGITAL REALTY TRUST INC EQUITY 253868103      8,733     213,477 SH       SOLE           1    213,477         --       --
DIGITAL RIV INC          EQUITY 25388B104      4,608     119,428 SH       SOLE           1    119,428         --       --
DIGITAL RIV INC          EQUITY 25388B104        525      13,600 SH       SOLE           2     13,600         --       --
DIGITAL RIV INC          EQUITY 25388B104          8         200 SH       DEFINED        5         --         --      200
DILLARDS, INC. CLASS A   EQUITY 254067101        869      75,073 SH       SOLE           1     75,073         --       --
DIME COMMUNITY
   BANCSHARES            EQUITY 253922108        352      21,320 SH       SOLE           1     21,320         --       --
DINEEQUITY INC           EQUITY 254423106        589      15,760 SH       SOLE           1     15,760         --       --
DIODES INC               EQUITY 254543101        724      26,211 SH       SOLE           1     26,211         --       --
DIODES INC               EQUITY 254543101        206       7,458 SH       DEFINED        4         --         --    7,458
DIONEX CORP              EQUITY 254546104        723      10,900 SH       SOLE           2     10,900         --       --
DIONEX CORP.             EQUITY 254546104      1,101      16,595 SH       SOLE           1     16,595         --       --
DIRECTV GROUP INC        EQUITY 25459L106        241       9,308 SH       SOLE           2      9,308         --       --
DIRECTV GROUP INC        EQUITY 25459L106          1          46 SH       DEFINED        4         --         --       46
DIRECTV GROUP INC        EQUITY 25459L106         13         488 SH       DEFINED        5         --         --      488
DIRECTV GROUP INC/THE    EQUITY 25459L106     19,185     740,440 SH       SOLE           1    740,440         --       --
DISCOVER FINANCIAL
   SERVICES              EQUITY 254709108      6,010     456,357 SH       SOLE           1    456,357         --       --
DISCOVER FINL SVCS       EQUITY 254709108        159      82,230 SH       SOLE           2     82,230         --       --
DISCOVER FINL SVCS       EQUITY 254709108         17       1,304 SH       DEFINED        5         --         --    1,304





                                                                                
DISCOVERY HOLDING CO     EQUITY 25468Y107          3         157 SH       DEFINED        4         --         --      157
DISCOVERY HOLDING CO-A   EQUITY 25468Y107        488      22,214 SH       SOLE           1     22,214         --       --
DISCOVERY LABORATORIES
   INC                   EQUITY 254668106        145      87,588 SH       SOLE           1     87,588         --       --
DISH NETWORK CORP        EQUITY 25470M109      3,477     118,736 SH       SOLE           1    118,736         --       --
DISNEY WALT CO           EQUITY 254687106      1,718      55,054 SH       SOLE           2     55,054         --       --
DISNEY WALT CO           EQUITY 254687106        138       4,422 SH       DEFINED        4         --         --    4,422
DISNEY WALT CO           EQUITY 254687106        451      14,443 SH       DEFINED        5         --         --   14,443
DIVIDEND CAP RLTY INCM
   ALLC                  EQUITY 25537T105         25       4,779 SH       DEFINED        4         --         --    4,779
DIVX INC                 EQUITY 255413106        179      24,406 SH       SOLE           1     24,406         --       --
DNP SELECT INCOME FD     EQUITY 23325P104         10         950 SH       DEFINED        4         --         --      950
DNP SELECT INCOME FD     EQUITY 23325P104         83       8,003 SH       DEFINED        5         --         --    8,003
DOLAN MEDIA CO           EQUITY 25659P402        361      19,859 SH       SOLE           1     19,859         --       --
DOLBY LABORATORIES INC
   COM                   EQUITY 25659T107      7,157     177,600 SH       SOLE           3      71000         --   106600
DOLBY LABORATORIES
   INC-CL A              EQUITY 25659T107        430      10,670 SH       SOLE           1     10,670         --       --
DOLLAR FINANCIAL CORP    EQUITY 256664103        332      21,951 SH       SOLE           1     21,951         --       --
DOLLAR THRIFTY
   AUTOMOTIVE            EQUITY 256743105        185      19,569 SH       SOLE           1     19,569         --       --
DOLLAR TREE INC          EQUITY 256746108      6,851     209,571 SH       SOLE           1    209,571         --       --
DOLLAR TREE INC          EQUITY 256746108          9         262 SH       DEFINED        4         --         --      262
DOMINION RES BLACK
   WARRIOR T             EQUITY 25746Q108        278      11,147 SH       DEFINED        4         --         --   11,147
DOMINION RES INC VA NEW  EQUITY 25746U109      2,108     240,365 SH       SOLE           2    240,365         --       --
DOMINION RES INC VA NEW  EQUITY 25746U109          5         100 SH       DEFINED        4         --         --      100
DOMINION RES INC VA NEW  EQUITY 25746U109        137       2,876 SH       DEFINED        5         --         --    2,876
DOMINION RESOURCES, INC. EQUITY 25746U109     14,056     295,977 SH       SOLE           1    295,977         --       --
DOMINO'S PIZZA INC       EQUITY 25754A201        669      58,155 SH       SOLE           1     58,155         --       --
DOMTAR CORP              EQUITY 257559104         38       7,463 SH       OTHER          1         --      7,463       --
DONALDSON CO., INC.      EQUITY 257651109      7,312     163,793 SH       SOLE           1    163,793         --       --
DONEGAL GROUP INC-CL A   EQUITY 257701201        168      10,614 SH       SOLE           1     10,614         --       --
DONNELLEY R R + SONS CO  EQUITY 257867101          7         241 SH       SOLE           2        241         --       --
DORCHESTER MINERALS LP   EQUITY 25820R105        134       4,200 SH       SOLE           1      4,200         --       --
DORMAN PRODUCTS INC      EQUITY 258278100         80       9,937 SH       SOLE           1      9,937         --       --
DOT HILL SYS CORP        EQUITY 25848T109         54      21,538 SH       DEFINED        5         --         --   21,538
DOUBLE EAGLE PETE CO     EQUITY 258570209          4         200 SH       DEFINED        5         --         --      200
DOUBLE EAGLE PETROLEUM
   CO                    EQUITY 258570209        135       7,392 SH       SOLE           1      7,392         --       --
DOUBLE-TAKE SOFTWARE INC EQUITY 258598101        215      15,646 SH       SOLE           1     15,646         --       --
DOUGLAS EMMETT INC       EQUITY 25960P109         88       4,018 SH       SOLE           1      4,018         --       --
DOUGLAS EMMETT INC       EQUITY 25960P109          2         100 SH       DEFINED        5         --         --      100
DOVER CORP               EQUITY 260003108      3,710      76,705 SH       SOLE           2     76,705         --       --
DOVER CORP               EQUITY 260003108        252       5,212 SH       DEFINED        5         --         --    5,212
DOVER CORP.              EQUITY 260003108      3,967      82,023 SH       SOLE           1     82,023         --       --
DOVER DOWNS GAMING &
   ENTERTA               EQUITY 260095104         81      12,645 SH       SOLE           1     12,645         --       --
DOVER MOTORSPORTS INC    EQUITY 260174107         70      13,732 SH       SOLE           1     13,732         --       --
DOW CHEM CO              EQUITY 260543103         37       1,058 SH       SOLE           2      1,058         --       --
DOW CHEM CO              EQUITY 260543103          4         114 SH       DEFINED        4         --         --      114
DOW CHEM CO              EQUITY 260543103        295       8,457 SH       DEFINED        5         --         --    8,457
DOW CHEMICAL CO.         EQUITY 260543103     13,276     380,290 SH       SOLE           1    380,290         --       --
DOWNEY FINANCIAL CORP.   EQUITY 261018105         51      18,343 SH       SOLE           1     18,343         --       --
DPL INC                  EQUITY 233293109        149       5,650 SH       SOLE           2      5,650         --       --
DPL INC                  EQUITY 233293109         50       1,887 SH       DEFINED        4         --         --    1,887
DPL, INC.                EQUITY 233293109      8,486     321,700 SH       SOLE           1    321,700         --       --
DR PEPPER SNAPPLE GROUP
   INC                   EQUITY 2.6138E+113      429      20,450 SH       SOLE           1     20,450         --       --
DR PEPPER SNAPPLE GROUP
   INC                   EQUITY 2.6138E+113        2          72 SH       DEFINED        4         --         --       72
DR PEPPER SNAPPLE GROUP
   INC                   EQUITY 2.6138E+113        1          63 SH       DEFINED        5         --         --       63





                                                                                
DR REDDYS LABS LTD       EQUITY 256135203         19       1,200 SH       DEFINED        5         --         --    1,200
DREAMWORKS ANIMATION SKG EQUITY 26153C103        560      18,800 SH       SOLE           2     18,800         --       --
DREAMWORKS ANIMATION
   SKG-A                 EQUITY 26153C103      5,543     185,939 SH       SOLE           1    185,939         --       --
DREMAN/CLAYMORE DIVID &
   INC                   EQUITY 26153R100         12         933 SH       DEFINED        4         --         --      933
DRESS BARN INC           EQUITY 261570105          6         464 SH       DEFINED        5         --         --      464
DRESS BARN, INC.         EQUITY 261570105        545      40,755 SH       SOLE           1     40,755         --       --
DRESSER-RAND GROUP INC   EQUITY 261608103         77       1,980 SH       SOLE           1      1,980         --       --
DRESSER-RAND GROUP INC   EQUITY 261608103         82       2,100 SH       DEFINED        5         --         --    2,100
DREW INDUSTRIES INC      EQUITY 26168L205        285      17,846 SH       SOLE           1     17,846         --       --
DREYFUS MUN INCOME INC   EQUITY 26201R102         83       9,854 SH       DEFINED        4         --         --    9,854
DREYFUS STRATEGIC MUN
   BD FD                 EQUITY 26202F107        283      37,400 SH       DEFINED        5         --         --   37,400
DRILL QUIP               EQUITY 262037104      1,765      28,017 SH       SOLE           1     28,017         --       --
DRIL-QUIP INC            EQUITY 262037104         38         608 SH       DEFINED        4         --         --      608
DRS TECHNOLOGIES INC     EQUITY 23330X100      7,642      97,073 SH       SOLE           1     97,073         --       --
DRS TECHNOLOGIES INC     EQUITY 23330X100          2          26 SH       DEFINED        4         --         --       26
DRUGSTORE.COM            EQUITY 262241102        144      75,686 SH       SOLE           1     75,686         --       --
DRYSHIPS INC             EQUITY Y2109Q101         84       1,050 SH       DEFINED        5         --         --    1,050
DRYSHIPS INC SHS (F)     EQUITY Y2109Q101      5,043      62,900 SH       SOLE           3      28000         --    34900
DSP GROUP, INC. COM      EQUITY 23332B106        154      22,012 SH       SOLE           1     22,012         --       --
DST SYS INC DEL          EQUITY 233326107      4,426      80,400 SH       SOLE           2     80,400         --       --
DST SYS INC DEL          EQUITY 233326AB3          1           1 PRN      DEFINED        4         --         --        1
DST SYSTEMS INC          EQUITY 233326107      5,891     107,013 SH       SOLE           1    107,013         --       --
DSW INC                  EQUITY 23334L102          5         400 SH       DEFINED        5         --         --      400
DSW INC-CLASS A          EQUITY 23334L102        143      12,137 SH       SOLE           1     12,137         --       --
DTE ENERGY CO            EQUITY 233331107          8         185 SH       SOLE           2        185         --       --
DTE ENERGY CO            EQUITY 233331107         19         450 SH       DEFINED        5         --         --      450
DTE ENERGY CO.           EQUITY 233331107      6,593     155,345 SH       SOLE           1    155,345         --       --
DTS INC                  EQUITY 23335C101        505      16,134 SH       SOLE           1     16,134         --       --
DU PONT E I DE NEMOURS
   & CO                  EQUITY 263534109        107       2,487 SH       DEFINED        4         --         --    2,487
DU PONT E I DE NEMOURS
   & CO                  EQUITY 263534109         37         866 SH       DEFINED        5         --         --      866
DU PONT E I DE NEMOURS
   + C                   EQUITY 263534109     11,873     276,818 SH       SOLE           2    276,818         --       --
DUCOMMUN INC DEL         EQUITY 264147109        220       9,566 SH       SOLE           1      9,566         --       --
DUFF & PHELPS CORP       EQUITY 26433B107        159       9,602 SH       SOLE           1      9,602         --       --
DUFF & PHELPS UTIL CORP
   BD T                  EQUITY 26432K108         37       3,500 SH       DEFINED        5         --         --    3,500
DUKE ENERGY CORP         EQUITY 26441C105     27,275   1,569,331 SH       SOLE           1  1,569,331         --       --
DUKE ENERGY CORP NEW     EQUITY 26441C105        105       6,042 SH       DEFINED        4         --         --    6,042
DUKE ENERGY CORP NEW     EQUITY 26441C105        251      14,434 SH       DEFINED        5         --         --   14,434
DUKE ENERGY HLDG CORP    EQUITY 26441C105         25       1,438 SH       SOLE           2      1,438         --       --
DUKE REALTY CORP         EQUITY 264411505        391      17,400 SH       DEFINED        5         --         --   17,400
DUN & BRADSTREET CORP
   NEW WI                EQUITY 2.6483E+104   11,433     130,449 SH       SOLE           1    130,449         --       --
DUNCAN ENERGY PARTNERS
   LP                    EQUITY 265026104          4         200 SH       DEFINED        4         --         --      200
DUPONT FABROS
   TECHNOLOGY INC        EQUITY 26613Q106        201      10,792 SH       SOLE           1     10,792         --       --
DURECT CORPORATION       EQUITY 266605104        247      67,168 SH       SOLE           1     67,168         --       --
DWS DREMAN VAL INCOME
   EDGE F                EQUITY 23339M105          5         353 SH       DEFINED        5         --         --      353
DWS HIGH INCOME TR       EQUITY 23337C109         52      11,200 SH       DEFINED        5         --         --   11,200
DWS MULTI MKT INCOME TR  EQUITY 23338L108         26       3,200 SH       DEFINED        4         --         --    3,200
DWS MULTI MKT INCOME TR  EQUITY 23338L108         49       5,914 SH       DEFINED        5         --         --    5,914
DWS RREEF REAL ESTATE
   FD II                 EQUITY 23338X102         14       1,228 SH       DEFINED        5         --         --    1,228
DWS RREEF REAL ESTATE
   FD INC                EQUITY 233384106          7         450 SH       DEFINED        5         --         --      450
DXP ENTERPRISES INC      EQUITY 233377407        135       3,249 SH       SOLE           1      3,249         --       --
DYAX CORP                EQUITY 2.6746E+107      156      50,370 SH       SOLE           1     50,370         --       --
DYCOM INDUSTRIES, INC.   EQUITY 267475101      1,875     129,131 SH       SOLE           1    129,131         --       --





                                                                                
DYNAMEX INC              EQUITY 26784F103        223       8,329 SH       SOLE           1      8,329         --       --
DYNAMIC MATERIALS CORP   EQUITY 267888105        376      11,417 SH       SOLE           1     11,417         --       --
DYNCORP INTERNATIONAL
   INC                   EQUITY 26817C101        339      22,409 SH       SOLE           1     22,409         --       --
DYNCORP INTL INC         EQUITY 26817C101          2         100 SH       DEFINED        4         --         --      100
DYNEGY INC               EQUITY 26817G102      1,874     219,151 SH       SOLE           1    219,151         --       --
DYNEGY INC DEL           EQUITY 26817G102          5         565 SH       SOLE           2        565         --       --
DYNEGY INC DEL           EQUITY 26817G102          4         490 SH       DEFINED        5         --         --      490
DYNEX CAP INC            EQUITY 26817Q605          9         852 SH       DEFINED        5         --         --      852
DYNEX CAP INC            EQUITY 26817Q506          2         260 SH       DEFINED        5         --         --      260
E M C CORP MASS          EQUITY 268648102        131       8,924 SH       DEFINED        4         --         --    8,924
E M C CORP MASS          EQUITY 268648102        342      23,314 SH       DEFINED        5         --         --   23,314
E TRADE FINANCIAL CORP   EQUITY 269246104          4       1,200 SH       DEFINED        4         --         --    1,200
E TRADE FINANCIAL CORP   EQUITY 269246104         10       3,050 SH       DEFINED        5         --         --    3,050
E TRADE FINL CORP        EQUITY 269246104          2         538 SH       SOLE           2        538         --       --
E*TRADE FINANCIAL CORP   EQUITY 269246104        647     206,157 SH       SOLE           1    206,157         --       --
EAGLE BULK SHIPPING INC  EQUITY Y2187A101         42       1,427 SH       DEFINED        4         --         --    1,427
EAGLE BULK SHIPPING INC  EQUITY Y2187A101         89       3,000 SH       DEFINED        5         --         --    3,000
EAGLE MATERIALS INC      EQUITY 26969P108         27       1,048 SH       SOLE           1      1,048         --       --
EAGLE MATERIALS INC      EQUITY 26969P108         35       1,400 SH       DEFINED        5         --         --    1,400
EAGLE ROCK ENERGY
   PARTNERS L            EQUITY 26985R104          3         200 SH       DEFINED        4         --         --      200
EAGLE TEST SYSTEMS INC   EQUITY 270006109        141      12,549 SH       SOLE           1     12,549         --       --
EARTHLINK INC            EQUITY 270321102        860      99,408 SH       SOLE           1     99,408         --       --
EARTHLINK INC            EQUITY 270321102          3         300 SH       DEFINED        4         --         --      300
EAST WEST BANCORP        EQUITY 27579R104        406      57,467 SH       SOLE           1     57,467         --       --
EAST WEST BANCORP INC    EQUITY 27579R104          5         753 SH       DEFINED        4         --         --      753
EASTERN AMERN NAT GAS TR EQUITY 276217106         62       2,000 SH       DEFINED        5         --         --    2,000
EASTGROUP PROPERTIES,
   INC.                  EQUITY 277276101      7,033     163,949 SH       SOLE           1    163,949         --       --
EASTMAN CHEM CO          EQUITY 277432100          6          87 SH       SOLE           2         87         --       --
EASTMAN CHEM CO          EQUITY 277432100          9         137 SH       DEFINED        4         --         --      137
EASTMAN CHEMICAL CO.     EQUITY 277432100      4,126      59,918 SH       SOLE           1     59,918         --       --
EASTMAN KODAK CO         EQUITY 277461109          5         328 SH       SOLE           2        328         --       --
EASTMAN KODAK CO         EQUITY 277461109         10         674 SH       DEFINED        4         --         --      674
EASTMAN KODAK CO         EQUITY 277461109          8         520 SH       DEFINED        5         --         --      520
EASTMAN KODAK CO.        EQUITY 277461109      7,345     508,997 SH       SOLE           1    508,997         --       --
EATON CORP               EQUITY 278058102      3,423      40,287 SH       SOLE           2     40,287         --       --
EATON CORP               EQUITY 278058102         42         494 SH       DEFINED        4         --         --      494
EATON CORP               EQUITY 278058102          8         100 SH       DEFINED        5         --         --      100
EATON CORP.              EQUITY 278058102      6,046      71,153 SH       SOLE           1     71,153         --       --
EATON VANCE CORP         EQUITY 278265103         95       2,400 SH       SOLE           2      2,400         --       --
EATON VANCE CORP         EQUITY 278265103          2          49 SH       DEFINED        5         --         --       49
EATON VANCE CORP.        EQUITY 278265103     10,734     269,958 SH       SOLE           1    269,958         --       --
EATON VANCE CR
   OPPORTUNIT FD         EQUITY 278271101          3         250 SH       DEFINED        5         --         --      250
EATON VANCE ENH EQTY
   INC FD                EQUITY 278277108         24       1,400 SH       DEFINED        5         --         --    1,400
EATON VANCE ENHANCED EQ
   INC                   EQUITY 278274105         68       3,897 SH       DEFINED        5         --         --    3,897
EATON VANCE INS CA MUN
   BD FD                 EQUITY 27828A100        158      12,164 SH       DEFINED        5         --         --   12,164
EATON VANCE INS MUN BD
   FD                    EQUITY 27827X101         20       1,500 SH       DEFINED        4         --         --    1,500
EATON VANCE LTD DUR
   INCOME F              EQUITY 27828H105         72       5,000 SH       DEFINED        4         --         --    5,000
EATON VANCE LTD DUR
   INCOME F              EQUITY 27828H105         28       1,910 SH       DEFINED        5         --         --    1,910
EATON VANCE MUNI INCOME
   TRUS                  EQUITY 27826U108        447      34,100 SH       DEFINED        4         --         --   34,100
EATON VANCE MUNI INCOME
   TRUS                  EQUITY 27826U108         18       1,338 SH       DEFINED        5         --         --    1,338
EATON VANCE SR FLTNG
   RTE TR                EQUITY 27828Q105         41       2,901 SH       DEFINED        4         --         --    2,901
EATON VANCE SR FLTNG
   RTE TR                EQUITY 27828Q105        157      10,965 SH       DEFINED        5         --         --   10,965





                                                                                
EATON VANCE SR INCOME TR EQUITY 27826S103         10       1,450 SH       DEFINED        4         --         --    1,450
EATON VANCE TAX ADVT
   DIV INC               EQUITY 27828G107         20         850 SH       DEFINED        4         --         --      850
EATON VANCE TAX ADVT
   DIV INC               EQUITY 27828G107         19         810 SH       DEFINED        5         --         --      810
EATON VANCE TAX MNG GBL
   DV E                  EQUITY 27829F108         23       1,500 SH       DEFINED        5         --         --    1,500
EATON VANCE TAX MNGED
   BUY WR                EQUITY 27828X100          8         500 SH       DEFINED        5         --         --      500
EATON VANCE TX ADV GLBL
   DIV                   EQUITY 27828S101         29       1,356 SH       DEFINED        4         --         --    1,356
EATON VANCE TX ADV GLBL
   DIV                   EQUITY 27828S101         19         881 SH       DEFINED        5         --         --      881
EATON VANCE TX MGD DIV
   EQ IN                 EQUITY 27828N102         19       1,225 SH       DEFINED        4         --         --    1,225
EATON VANCE TX MGD DIV
   EQ IN                 EQUITY 27828N102         15       1,000 SH       DEFINED        5         --         --    1,000
EATON VANCE TX MNG BY
   WRT OP                EQUITY 27828Y108         13         790 SH       DEFINED        4         --         --      790
EATON VANCE TX MNG BY
   WRT OP                EQUITY 27828Y108         15         890 SH       DEFINED        5         --         --      890
EATON VANCE TXMGD GL
   BUYWR O               EQUITY 27829C105          8         490 SH       DEFINED        4         --         --      490
EATON VANCE TXMGD GL
   BUYWR O               EQUITY 27829C105         14         880 SH       DEFINED        5         --         --      880
EBAY INC                 EQUITY 278642103      2,598      95,057 SH       SOLE           2     95,057         --       --
EBAY INC                 EQUITY 278642103         60       2,195 SH       DEFINED        4         --         --    2,195
EBAY INC                 EQUITY 278642103        221       8,085 SH       DEFINED        5         --         --    8,085
EBAY, INC.               EQUITY 278642103     31,717   1,160,523 SH       SOLE           1  1,160,523         --       --
EBIX INC                 EQUITY 278715206        143       1,834 SH       SOLE           1      1,834         --       --
ECHELON                  EQUITY 27874N105        293      26,861 SH       SOLE           1     26,861         --       --
ECHELON CORP             EQUITY 27874N105         22       2,000 SH       DEFINED        4         --         --    2,000
ECHELON CORP             EQUITY 27874N105          5         500 SH       DEFINED        5         --         --      500
ECHOSTAR CORP            EQUITY 278768106         42       1,358 SH       SOLE           1      1,358         --       --
ECLIPSYS CORP COM        EQUITY 278856109        465      25,300 SH       SOLE           3      25300         --       --
ECLIPSYS CORP.           EQUITY 278856109      1,793      97,645 SH       SOLE           1     97,645         --       --
ECOLAB INC               EQUITY 278865100          9         200 SH       SOLE           2        200         --       --
ECOLAB INC               EQUITY 278865100        100       2,316 SH       DEFINED        5         --         --    2,316
ECOLAB, INC.             EQUITY 278865100      4,887     113,686 SH       SOLE           1    113,686         --       --
EDISON INTERNATIONAL INC EQUITY 281020107     29,887     581,692 SH       SOLE           1    581,692         --       --
EDISON INTL              EQUITY 281020107        859      16,720 SH       SOLE           2     16,720         --       --
EDISON INTL              EQUITY 281020107         51         987 SH       DEFINED        5         --         --      987
EDUCATION RLTY TR INC    EQUITY 28140H104          5         400 SH       DEFINED        4         --         --      400
EDWARDS LIFESCIENCES CP  EQUITY 2.8176E+112    7,939     127,963 SH       SOLE           1    127,963         --       --
EHEALTH INC              EQUITY 28238P109        399      22,575 SH       SOLE           1     22,575         --       --
EI DU PONT DE NEMOURS &
   CO                    EQUITY 263534109     19,122     445,831 SH       SOLE           1    445,831         --       --
EINSTEIN NOAH
   RESTAURANT GROUP INC  EQUITY 28257U104         44       3,980 SH       SOLE           1      3,980         --       --
EL PASO CORP             EQUITY 28336L109      6,706     308,468 SH       SOLE           1    308,468         --       --
EL PASO CORP             EQUITY 28336L109         17         799 SH       SOLE           2        799         --       --
EL PASO CORP             EQUITY 28336L109         23       1,069 SH       DEFINED        4         --         --    1,069
EL PASO CORP             EQUITY 28336L109         17         800 SH       DEFINED        5         --         --      800
EL PASO ELECTRIC CO.     EQUITY 283677854        803      40,557 SH       SOLE           1     40,557         --       --
EL PASO ENERGY CAP TR I  EQUITY 283678209         21         500 SH       DEFINED        4         --         --      500
ELAN PLC                 EQUITY 284131208          9         252 SH       DEFINED        5         --         --      252
ELBIT SYS LTD            EQUITY M3760D101         12         200 SH       DEFINED        4         --         --      200
ELDORADO GOLD CORP NEW
   CALL                  EQUITY 284902903          3          20     CALL DEFINED        5         --         --       20
ELDORADO GOLD
   CORPORATION           EQUITY 284902103         52       6,018 SH       OTHER          1         --      6,018       --
ELECTRO OPTICAL
   SCIENCES INC          EQUITY 285192100          2         200 SH       DEFINED        5         --         --      200
ELECTRO RENT CORP.       EQUITY 285218103        245      19,509 SH       SOLE           1     19,509         --       --
ELECTRO SCIENTIFIC
   INDUSTRIES,           EQUITY 285229100        348      24,560 SH       SOLE           1     24,560         --       --
ELECTRONIC ARTS          EQUITY 285512109      6,717     151,173 SH       SOLE           1    151,173         --       --
ELECTRONIC ARTS INC      EQUITY 285512109      1,732      38,978 SH       SOLE           2     38,978         --       --
ELECTRONIC ARTS INC      EQUITY 285512109         51       1,143 SH       DEFINED        4         --         --    1,143
ELECTRONIC ARTS INC      EQUITY 285512109          3          65 SH       DEFINED        5         --         --       65





                                                                                
ELECTRONIC DATA SYS
   CORP N                EQUITY 285661104         14         572 SH       SOLE           2        572         --       --
ELECTRONIC DATA SYS NEW  EQUITY 285661104         14         579 SH       DEFINED        5         --         --      579
ELECTRONIC DATA SYSTEMS
   CORP.                 EQUITY 285661104     17,839     723,968 SH       SOLE           1    723,968         --       --
ELECTRONICS FOR
   IMAGING, INC.         EQUITY 286082102        703      48,168 SH       SOLE           1     48,168         --       --
ELI LILLY AND CO.        EQUITY 532457108     38,351     830,828 SH       SOLE           1    830,828         --       --
ELIXIR GAMING
   TECHNOLOGIES INC      EQUITY 28661G105         74      61,336 SH       SOLE           1     61,336         --       --
ELIZABETH ARDEN INC      EQUITY 28660G106        336      22,115 SH       SOLE           1     22,115         --       --
ELIZABETH ARDEN INC      EQUITY 28660G106      1,656     109,100 SH       SOLE           2    109,100         --       --
EMBARQ CORP              EQUITY 2.9078E+109   14,171     299,788 SH       SOLE           1    299,788         --       --
EMBARQ CORP              EQUITY 2.9078E+109      194       4,098 SH       SOLE           2      4,098         --       --
EMBARQ CORP              EQUITY 2.9078E+109       63       1,323 SH       DEFINED        5         --         --    1,323
EMC CORP                 EQUITY 268648102      1,567     106,650 SH       SOLE           2    106,650         --       --
EMC CORP.                EQUITY 268648102     29,504   2,008,453 SH       SOLE           1  2,008,453         --       --
EMC INS GROUP INC        EQUITY 268664109        128       5,300 SH       SOLE           1      5,300         --       --
EMCOR GROUP, INC.        EQUITY 29084Q100      1,754      61,474 SH       SOLE           1     61,474         --       --
EMCORE CORPORATION       EQUITY 290846104        416      66,460 SH       SOLE           1     66,460         --       --
EMERGENCY MED SVCS CORP  EQUITY 29100P102      1,776      78,500 SH       SOLE           2     78,500         --       --
EMERGENCY MEDICAL
   SERVICES CORP         EQUITY 29100P102        191       8,445 SH       SOLE           1      8,445         --       --
EMERGENT BIOSOLUTIONS
   INC                   EQUITY 29089Q105        122      12,262 SH       SOLE           1     12,262         --       --
EMERITUS CORP            EQUITY 291005106        261      17,832 SH       SOLE           1     17,832         --       --
EMERSON ELEC CO          EQUITY 291011104      5,200     105,160 SH       SOLE           2    105,160         --       --
EMERSON ELEC CO          EQUITY 291011104        164       3,308 SH       DEFINED        4         --         --    3,308
EMERSON ELEC CO          EQUITY 291011104         63       1,275 SH       DEFINED        5         --         --    1,275
EMERSON ELECTRIC CO.     EQUITY 291011104     20,634     417,277 SH       SOLE           1    417,277         --       --
EMPIRE DIST ELEC CO      EQUITY 291641108         41       2,210 SH       DEFINED        4         --         --    2,210
EMPIRE DISTRICT
   ELECTRIC CO.          EQUITY 291641108        567      30,572 SH       SOLE           1     30,572         --       --
EMPLOYERS HOLDINGS INC   EQUITY 292218104        927      44,769 SH       SOLE           1     44,769         --       --
EMS TECHNOLOGIES INC     EQUITY 26873N108        309      14,128 SH       SOLE           1     14,128         --       --
EMULEX CORP              EQUITY 292475209        891      76,447 SH       SOLE           1     76,447         --       --
EMULEX CORP              EQUITY 292475209         15       1,262 SH       DEFINED        5         --         --    1,262
ENBRIDGE ENERGY
   MANAGEMENT L          EQUITY 29250X103          3          59 SH       DEFINED        4         --         --       59
ENBRIDGE ENERGY
   PARTNERS L P          EQUITY 29250R106        193       3,830 SH       DEFINED        4         --         --    3,830
ENBRIDGE ENERGY
   PARTNERS L P          EQUITY 29250R106        156       3,100 SH       DEFINED        5         --         --    3,100
ENBRIDGE INC             EQUITY 29250N105      1,197      27,581 SH       OTHER          1         --     27,581       --
ENCANA CORP              EQUITY 292505104     17,407     189,162 SH       OTHER          1         --    189,162       --
ENCANA CORP              EQUITY 292505104        120       1,319 SH       DEFINED        4         --         --    1,319
ENCANA CORP              EQUITY 292505104        172       1,893 SH       DEFINED        5         --         --    1,893
ENCORE ACQUISITION CO    EQUITY 29255W100      9,378     124,730 SH       SOLE           1    124,730         --       --
ENCORE BANCSHARES INC    EQUITY 29255V201         91       5,830 SH       SOLE           1      5,830         --       --
ENCORE CAP GROUP INC     EQUITY 292554102          6         700 SH       DEFINED        5         --         --      700
ENCORE CAPITAL GROUP INC EQUITY 292554102        109      12,394 SH       SOLE           1     12,394         --       --
ENCORE WIRE CORP         EQUITY 292562105        350      16,518 SH       SOLE           1     16,518         --       --
ENCORIUM GROUP INC       EQUITY 29257R109          3       2,000 SH       DEFINED        5         --         --    2,000
ENDEAVOUR INTERNATIONAL
   CORP                  EQUITY 29259G101        223     102,993 SH       SOLE           1    102,993         --       --
ENDO PHARMACEUTICALS     EQUITY 29264F205      6,800     281,127 SH       SOLE           1    281,127         --       --
ENDO PHARMACEUTICALS
   HLDGS I               EQUITY 29264F205          4         175 SH       DEFINED        4         --         --      175
ENER1 INC                EQUITY 29267A203        241      32,540 SH       SOLE           1     32,540         --       --
ENER1 INC                EQUITY 29267A203          2         314 SH       DEFINED        5         --         --      314
ENERGEN CORP             EQUITY 29265N108        208       2,670 SH       SOLE           2      2,670         --       --
ENERGEN CORP             EQUITY 29265N108          2          21 SH       DEFINED        4         --         --       21
ENERGEN CORP             EQUITY 29265N108          4          50 SH       DEFINED        5         --         --       50
ENERGEN CORP.            EQUITY 29265N108     13,112     168,039 SH       SOLE           1    168,039         --       --





                                                                                
ENERGIZER HLDGS INC      EQUITY 29266R108      2,032      27,800 SH       SOLE           2     27,800         --       --
ENERGIZER HLDGS INC      EQUITY 29266R108         13         176 SH       DEFINED        5         --         --      176
ENERGIZER HOLDINGS INC   EQUITY 29266R108      9,803     134,123 SH       SOLE           1    134,123         --       --
ENERGY CONVERSION
   DEVICES               EQUITY 292659109        346       4,700 SH       SOLE           2      4,700         --       --
ENERGY CONVERSION
   DEVICES IN            EQUITY 292659109         29         400 SH       DEFINED        5         --         --      400
ENERGY CONVERSION
   DEVICES, INC          EQUITY 292659109      2,702      36,688 SH       SOLE           1     36,688         --       --
ENERGY EAST CORP         EQUITY 29266M109      9,177     371,245 SH       SOLE           1    371,245         --       --
ENERGY EAST CORP         EQUITY 29266M109         67       2,702 SH       DEFINED        4         --         --    2,702
ENERGY EAST CORP         EQUITY 29266M109          8         325 SH       DEFINED        5         --         --      325
ENERGY INCOME & GROWTH
   FD                    EQUITY 292697109         33       1,473 SH       DEFINED        4         --         --    1,473
ENERGY INCOME & GROWTH
   FD                    EQUITY 292697109         27       1,200 SH       DEFINED        5         --         --    1,200
ENERGY PARTNERS LTD      EQUITY 29270U105        431      28,908 SH       SOLE           1     28,908         --       --
ENERGY TRANSFER EQUITY
   LP                    EQUITY 29273V100      6,304     217,466 SH       SOLE           1    217,466         --       --
ENERGYSOLUTIONS INC      EQUITY 292756202        672      30,077 SH       SOLE           1     30,077         --       --
ENERGYSOUTH INC          EQUITY 292970100        324       6,611 SH       SOLE           1      6,611         --       --
ENERNOC INC              EQUITY 292764107        441      24,555 SH       SOLE           1     24,555         --       --
ENERPLUS RES FD          EQUITY 29274D604        302       6,526 SH       DEFINED        4         --         --    6,526
ENERPLUS RES FD          EQUITY 29274D604         46       1,000 SH       DEFINED        5         --         --    1,000
ENERPLUS RESOURCES FUND  EQUITY 29274D604      3,009      64,702 SH       OTHER          1         --     64,702       --
ENERSIS S A              EQUITY 29274F104         14         896 SH       DEFINED        5         --         --      896
ENERSYS                  EQUITY 29275Y102        852      24,898 SH       SOLE           1     24,898         --       --
ENGLOBAL CORP            EQUITY 293306106        349      24,517 SH       SOLE           1     24,517         --       --
ENGLOBAL CORP            EQUITY 293306106          9         600 SH       DEFINED        5         --         --      600
ENI S P A                EQUITY 26874R108          3          46 SH       DEFINED        4         --         --       46
ENNIS INC                EQUITY 293389102        365      23,300 SH       SOLE           1     23,300         --       --
ENPRO INDUSTRIES INC     EQUITY 29355X107        683      18,304 SH       SOLE           1     18,304         --       --
ENSCO INTERNATIONAL,
   INC.                  EQUITY 26874Q100      9,096     112,654 SH       SOLE           1    112,654         --       --
ENSCO INTL INC           EQUITY 26874Q100        171       2,114 SH       SOLE           2      2,114         --       --
ENSIGN GROUP INC/THE     EQUITY 29358P101         87       7,534 SH       SOLE           1      7,534         --       --
ENTEGRIS INC             EQUITY 29362U104        678     103,459 SH       SOLE           1    103,459         --       --
ENTEGRIS INC             EQUITY 29362U104      4,810     734,400 SH       SOLE           2    734,400         --       --
ENTEGRIS INC             EQUITY 29362U104          3         382 SH       DEFINED        5         --         --      382
ENTERCOM COMMUNICATIONS
   CORP                  EQUITY 293639100          2         214 SH       DEFINED        4         --         --      214
ENTERCOM COMMUNICATIONS
   CORP.                 EQUITY 293639100        596      84,859 SH       SOLE           1     84,859         --       --
ENTERGY ARKANSAS INC     EQUITY 29364G103      9,414      78,138 SH       SOLE           1     78,138         --       --
ENTERGY CORP NEW         EQUITY 29364G103         26         218 SH       SOLE           2        218         --       --
ENTERGY CORP NEW         EQUITY 29364G103         76         631 SH       DEFINED        4         --         --      631
ENTERGY CORP NEW         EQUITY 29364G103         12         100 SH       DEFINED        5         --         --      100
ENTERPRISE FINANCIAL
   SERVICE               EQUITY 293712105        189      10,015 SH       SOLE           1     10,015         --       --
ENTERPRISE PROD PTNRS    EQUITY 293792107      2,905      98,350 SH       SOLE           1     98,350         --       --
ENTERPRISE PRODS
   PARTNERS L            EQUITY 293792107        108       3,642 SH       DEFINED        4         --         --    3,642
ENTERPRISE PRODS
   PARTNERS L            EQUITY 293792107        331      11,200 SH       DEFINED        5         --         --   11,200
ENTERTAINMENT

   PROPERTIES TRUST      EQUITY 29380T105      2,542      51,411 SH       SOLE           1     51,411         --       --
ENTRAVISION COMMUNIC     EQUITY 29382R107        217      53,893 SH       SOLE           1     53,893         --       --
ENTROPIC COMMUNICATIONS
   INC                   EQUITY 29384R105         40       8,346 SH       SOLE           1      8,346         --       --
ENTRUST TECHNOLOGIES
   INC.                  EQUITY 293848107        163      55,502 SH       SOLE           1     55,502         --       --
ENZO BIOCHEM, INC.       EQUITY 294100102        327      29,110 SH       SOLE           1     29,110         --       --
ENZON PHARMACEUTICALS
   INC                   EQUITY 293904108        289      40,523 SH       SOLE           1     40,523         --       --
EOG RES INC              EQUITY 26875P101         79         600 SH       DEFINED        4         --         --      600
EOG RES INC              EQUITY 26875P101         34         260 SH       DEFINED        5         --         --      260
EOG RESOURCES INC        EQUITY 26875P101     28,273     215,495 SH       SOLE           1    215,495         --       --
EOG RESOURCES INC        EQUITY 26875P101         37         282 SH       SOLE           2        282         --       --





                                                                                
EPICOR SOFTWARE
   CORPORATION           EQUITY 29426L108        371      53,734 SH       SOLE           1     53,734         --       --
EPIQ SYS INC COM         EQUITY 26882D109      1,146      80,700 SH       SOLE           3      80700         --       --
EPIQ SYSTEMS INC         EQUITY 26882D109        455      32,023 SH       SOLE           1     32,023         --       --
EPOCH HOLDING CORP       EQUITY 29428R103         83       9,140 SH       SOLE           1      9,140         --       --
EQUIFAX INC              EQUITY 294429105      9,220     274,247 SH       SOLE           2    274,247         --       --
EQUIFAX, INC.            EQUITY 294429105      1,851      55,060 SH       SOLE           1     55,060         --       --
EQUINIX INC              EQUITY 29444U502         67         753 SH       SOLE           1        753         --       --
EQUINIX INC              EQUITY 29444U502        696       7,800 SH       SOLE           2      7,800         --       --
EQUITABLE RES INC        EQUITY 294549100        345       5,000 SH       DEFINED        5         --         --    5,000
EQUITABLE RESOURCES,
   INC.                  EQUITY 294549100     20,919     302,912 SH       SOLE           1    302,912         --       --
EQUITY INCOME FD         EQUITY 294700703         30         300 SH       DEFINED        4         --         --      300
EQUITY LIFESTYLE
   PROPERTIES INC        EQUITY 29472R108      6,762     153,685 SH       SOLE           1    153,685         --       --
EQUITY RESIDENTIAL       EQUITY 29476L107      7,641     199,665 SH       SOLE           1    199,665         --       --
EQUITY RESIDENTIAL       EQUITY 29476L107         12         308 SH       SOLE           2        308         --       --
ERESEARCH TECHNOLOGY INC EQUITY 29481V108        579      33,200 SH       SOLE           2     33,200         --       --
ERESEARCHTECHNOLOGY IN   EQUITY 29481V108        683      39,155 SH       SOLE           1     39,155         --       --
ERICSSON L M TEL CO      EQUITY 294821608          6         560 SH       DEFINED        4         --         --      560
ERIE INDEMNITY COMPA     EQUITY 29530P102         48       1,033 SH       SOLE           1      1,033         --       --
ESCO ELECTRONICS CORP    EQUITY 296315104      1,103      23,500 SH       SOLE           1     23,500         --       --
ESMARK INC               EQUITY 296475106        277      14,503 SH       SOLE           1     14,503         --       --
ESSA BANCORP INC         EQUITY 29667D104        193      15,383 SH       SOLE           1     15,383         --       --
ESSEX PROPERTY TRUST,
   INC.                  EQUITY 297178105     12,066     113,297 SH       SOLE           1    113,297         --       --
ESTEE LAUDER
   COMPANIES-CL A        EQUITY 518439104      2,235      48,120 SH       SOLE           1     48,120         --       --
ESTERLINE TECHNOLOGIES
   CORP.                 EQUITY 297425100      1,312      26,638 SH       SOLE           1     26,638         --       --
ETHAN ALLEN INTERIOR     EQUITY 297602104        548      22,295 SH       SOLE           1     22,295         --       --
EURONET WORLDWIDE INC    EQUITY 298736109        721      42,687 SH       SOLE           1     42,687         --       --
EURONET WORLDWIDE INC    EQUITY 298736109      2,138     126,500 SH       SOLE           2    126,500         --       --
EUROSEAS LTD             EQUITY Y23592200        131      10,067 SH       DEFINED        4         --         --   10,067
EV ENERGY PARTNERS LP    EQUITY 26926V107         12         400 SH       DEFINED        4         --         --      400
EV3 INC                  EQUITY 26928A200        604      63,673 SH       SOLE           1     63,673         --       --
EVERCORE PARTNERS INC    EQUITY 29977A105         85       8,926 SH       SOLE           1      8,926         --       --
EVEREST RE GROUP LTD     EQUITY G3223R108          4          50 SH       DEFINED        4         --         --       50
EVEREST RE GROUP LTD     EQUITY G3223R108          9         117 SH       DEFINED        5         --         --      117
EVERGREEN ENERGY INC     EQUITY 30024B104        135      76,656 SH       SOLE           1     76,656         --       --
EVERGREEN ENERGY INC     EQUITY 30024B104          2       1,000 SH       DEFINED        5         --         --    1,000
EVERGREEN GBL DIVID OPP
   FUND                  EQUITY 30024H101          8         500 SH       DEFINED        5         --         --      500
EVERGREEN INCOME
   ADVANTAGE F           EQUITY 30023Y105         53       5,073 SH       DEFINED        4         --         --    5,073
EVERGREEN INCOME
   ADVANTAGE F           EQUITY 30023Y105         11       1,084 SH       DEFINED        5         --         --    1,084
EVERGREEN INTL BALANCED
   INCO                  EQUITY 30024R109          3         175 SH       DEFINED        5         --         --      175
EVERGREEN MULTI SECT
   INC FUN               EQUITY 30024Y104          4         249 SH       DEFINED        4         --         --      249
EVERGREEN MULTI SECT
   INC FUN               EQUITY 30024Y104         12         755 SH       DEFINED        5         --         --      755
EVERGREEN SOLAR INC      EQUITY 30033R108        929      95,827 SH       SOLE           1     95,827         --       --
EVERGREEN SOLAR INC      EQUITY 30033R108        315      32,500 SH       SOLE           2     32,500         --       --
EVERGREEN SOLAR INC      EQUITY 30033R108          5         500 SH       DEFINED        5         --         --      500
EVERGREEN UTLS & HIGH
   INCM F                EQUITY 30034Q109         26       1,000 SH       DEFINED        5         --         --    1,000
EXACT SCIENCES CORP      EQUITY 30063P105          2       1,000 SH       DEFINED        5         --         --    1,000
EXACTECH INC             EQUITY 3.0064E+113      164       6,378 SH       SOLE           1      6,378         --       --
EXAR CORP.               EQUITY 300645108        255      33,825 SH       SOLE           1     33,825         --       --
EXCEL MARITIME CARRIERS
   LTD                   EQUITY V3267N107        287       7,300 SH       DEFINED        5         --         --    7,300
EXCEL TECHNOLOGY         EQUITY 30067T103        220       9,838 SH       SOLE           1      9,838         --       --
EXCO RESOURCES INC       EQUITY 269279402      2,489      67,442 SH       SOLE           1     67,442         --       --
EXELIXIS, INC.           EQUITY 30161Q104        476      95,218 SH       SOLE           1     95,218         --       --





                                                                                
EXELON CORP              EQUITY 30161N101     24,643     273,936 SH       SOLE           1    273,936         --       --
EXELON CORP              EQUITY 30161N101        472       5,246 SH       SOLE           2      5,246         --       --
EXELON CORP              EQUITY 30161N101        327       3,637 SH       DEFINED        4         --         --    3,637
EXELON CORP              EQUITY 30161N101         35         393 SH       DEFINED        5         --         --      393
EXIDE TECHNOLOGIES       EQUITY 302051206      1,142      68,159 SH       SOLE           1     68,159         --       --
EXLSERVICE HOLDINGS INC  EQUITY 302081104        180      12,852 SH       SOLE           1     12,852         --       --
EXPEDIA INC              EQUITY 30212P105      5,114     278,256 SH       SOLE           1    278,256         --       --
EXPEDIA INC DEL          EQUITY 30212P105        143       7,788 SH       SOLE           2      7,788         --       --
EXPEDITORS
   INTERNATIONAL OF WA   EQUITY 302130109      4,341     100,948 SH       SOLE           1    100,948         --       --
EXPEDITORS INTL WA INC   EQUITY 302130109         10         243 SH       SOLE           2        243         --       --
EXPEDITORS INTL WASH INC EQUITY 302130109         19         448 SH       DEFINED        5         --         --      448
EXPONENT INC             EQUITY 30214U102        419      13,350 SH       SOLE           1     13,350         --       --
EXPONENT INC             EQUITY 30214U102        545      17,350 SH       SOLE           2     17,350         --       --
EXPRESS SCRIPTS INC      EQUITY 302182100      1,721      27,436 SH       SOLE           2     27,436         --       --
EXPRESS SCRIPTS INC      EQUITY 302182100         47         744 SH       DEFINED        4         --         --      744
EXPRESS SCRIPTS, INC.    EQUITY 302182100     19,583     312,231 SH       SOLE           1    312,231         --       --
EXTERRAN HLDGS INC       EQUITY 30225X103      3,198      44,733 SH       SOLE           2     44,733         --       --
EXTERRAN HOLDINGS INC    EQUITY 30225X103     11,008     153,975 SH       SOLE           1    153,975         --       --
EXTRA SPACE STORAGE INC  EQUITY 30225T102      1,105      71,961 SH       SOLE           1     71,961         --       --
EXTREME NETWORK INC      EQUITY 30226D106        299     105,357 SH       SOLE           1    105,357         --       --
EXTREME NETWORKS INC     EQUITY 30226D106          1         500 SH       DEFINED        5         --         --      500
EXXON MOBIL CORP         EQUITY 30231G102     39,885     452,574 SH       SOLE           2    452,574         --       --
EXXON MOBIL CORP         EQUITY 30231G102      1,501      17,033 SH       DEFINED        4         --         --   17,033
EXXON MOBIL CORP         EQUITY 30231G102      2,476      28,094 SH       DEFINED        5         --         --   28,094
EXXON MOBIL CORP.        EQUITY 30231G102    323,420   3,669,803 SH       SOLE           1  3,669,803         --       --
EZCORP INC               EQUITY 302301106        444      34,801 SH       SOLE           1     34,801         --       --
F M C CORP               EQUITY 302491303         12         154 SH       DEFINED        4         --         --      154
F M C CORP               EQUITY 302491303          5          60 SH       DEFINED        5         --         --       60
F M C CORP COM NEW       EQUITY 302491303      6,242      80,600 SH       SOLE           3      33100         --    47500
F5 NETWORKS INC          EQUITY 315616102      5,437     191,313 SH       SOLE           1    191,313         --       --
FACTSET RESEARCH
   SYSTEMS, INC.         EQUITY 303075105         55         983 SH       SOLE           1        983         --       --
FACTSET RESH SYS INC     EQUITY 303075105         11         200 SH       DEFINED        5         --         --      200
FACTSET RESH SYS INC COM EQUITY 303075105      5,805     103,000 SH       SOLE           3      40700         --    62300
FAIR ISSAC CORP          EQUITY 303250104      3,249     156,447 SH       SOLE           1    156,447         --       --
FAIRCHILD SEMICONDUCTOR
   CORP.                 EQUITY 303726103      3,427     292,128 SH       SOLE           1    292,128         --       --
FAIRFAX FINANCIAL
   HOLDINGS LTD          EQUITY 303901102      1,192       4,851 SH       OTHER          1         --      4,851       --
FAIRPOINT
   COMMUNICATIONS INC    EQUITY 305560104        585      81,087 SH       SOLE           1     81,087         --       --
FAIRPOINT
   COMMUNICATIONS INC    EQUITY 305560104        153      21,205 SH       DEFINED        5         --         --   21,205
FALCONSTOR SOFTWARE INC  EQUITY 306137100        245      34,574 SH       SOLE           1     34,574         --       --
FAMILY DLR STORES INC    EQUITY 307000109      4,436     222,479 SH       SOLE           2    222,479         --       --
FAMILY DLR STORES INC    EQUITY 307000109         10         500 SH       DEFINED        5         --         --      500
FAMILY DOLLAR STORES,
   INC.                  EQUITY 307000109      3,879     194,543 SH       SOLE           1    194,543         --       --
FARMER BROS. CO.         EQUITY 307675108        129       6,116 SH       SOLE           1      6,116         --       --
FARMERS CAPITAL BANK
   CORP                  EQUITY 309562106         99       5,619 SH       SOLE           1      5,619         --       --
FARO TECHNOLOGIES INC    EQUITY 311642102        380      15,108 SH       SOLE           1     15,108         --       --
FASTENAL CO              EQUITY 311900104        471      10,918 SH       DEFINED        4         --         --   10,918
FASTENAL CO              EQUITY 311900104        433      10,030 SH       DEFINED        5         --         --   10,030
FASTENAL CO.             EQUITY 311900104     12,956     300,196 SH       SOLE           1    300,196         --       --
FBL FINANCIAL GROUP,
   INC., CLASS A         EQUITY 30239F106        231      11,611 SH       SOLE           1     11,611         --       --
FBR CAPITAL MARKETS CORP EQUITY 30247C301        127      25,237 SH       SOLE           1     25,237         --       --
FCSTONE GROUP INC        EQUITY 31308T100        574      20,561 SH       SOLE           1     20,561         --       --
FEDERAL AGRIC MTG CORP   EQUITY 313148306        213       8,588 SH       SOLE           1      8,588         --       --





                                                                                
FEDERAL HOME LN MTG CORP EQUITY 313400301        666     531,007 SH       SOLE           2    531,007         --       --
FEDERAL HOME LN MTG CORP EQUITY 313400301          4         242 SH       DEFINED        4         --         --      242
FEDERAL HOME LN MTG CORP EQUITY 313400301          1          80 SH       DEFINED        5         --         --       80
FEDERAL MOGUL CORP       EQUITY 313549404         12         753 SH       SOLE           1        753         --       --
FEDERAL NATIONAL
   MORTGAGE ASSO         EQUITY 313586109     13,744     704,444 SH       SOLE           1    704,444         --       --
FEDERAL NATL MTG ASSN    EQUITY 313586109      5,308     966,501 SH       SOLE           2    966,501         --       --
FEDERAL NATL MTG ASSN    EQUITY 313586109         11         568 SH       DEFINED        4         --         --      568
FEDERAL NATL MTG ASSN    EQUITY 313586109         67       3,455 SH       DEFINED        5         --         --    3,455
FEDERAL REALTY INVS
   TRUST                 EQUITY 313747206     21,004     304,404 SH       SOLE           1    304,404         --       --
FEDERAL REALTY INVT TR   EQUITY 313747206         19         280 SH       DEFINED        4         --         --      280
FEDERAL SIGNAL CORP      EQUITY 313855108          1         104 SH       DEFINED        4         --         --      104
FEDERAL SIGNAL CORP.     EQUITY 313855108      1,854     154,480 SH       SOLE           1    154,480         --       --
FEDERATED INVESTORS      EQUITY 314211103      8,741     253,963 SH       SOLE           1    253,963         --       --
FEDERATED INVS INC PA    EQUITY 314211103        114       3,299 SH       SOLE           2      3,299         --       --
FEDEX CORP               EQUITY 31428X106         28         353 SH       SOLE           2        353         --       --
FEDEX CORP               EQUITY 31428X106         33         417 SH       DEFINED        4         --         --      417
FEDEX CORP               EQUITY 31428X106         58         742 SH       DEFINED        5         --         --      742
FEDEX CORP CALL          EQUITY 31428X906          9          50     CALL DEFINED        5         --         --       50
FEDEX CORP PUT           EQUITY 31428X956          4           4     PUT  DEFINED        5         --         --        4
FEDEX CORPORATION        EQUITY 31428X106     12,271     155,737 SH       SOLE           1    155,737         --       --
FEI COMPANY              EQUITY 30241L109        752      33,033 SH       SOLE           1     33,033         --       --
FERRELLGAS PARTNERS L.P. EQUITY 315293100         50       2,542 SH       DEFINED        4         --         --    2,542
FERRELLGAS PARTNERS L.P. EQUITY 315293100        311      15,800 SH       DEFINED        5         --         --   15,800
FERRO CORP.              EQUITY 315405100      2,639     140,697 SH       SOLE           1    140,697         --       --
FIBERTOWER CORP          EQUITY 31567R100        212     151,293 SH       SOLE           1    151,293         --       --
FIDELITY COMWLTH TR      EQUITY 315912808         36         400 SH       DEFINED        5         --         --      400
FIDELITY NATIONAL
   FINANCIAL             EQUITY 31620R105          4         329 SH       DEFINED        4         --         --      329
FIDELITY NATIONAL
   FINANCIAL             EQUITY 31620R105          5         378 SH       DEFINED        5         --         --      378
FIDELITY NATIONAL FINL-A EQUITY 31620R105      6,320     501,587 SH       SOLE           1    501,587         --       --
FIDELITY NAT'L INFO
   SVCS INC              EQUITY 31620M106      2,769      75,031 SH       SOLE           1     75,031         --       --
FIDELITY NATL
   INFORMATION           EQUITY 31620M106      6,263     169,695 SH       SOLE           2    169,695         --       --
FIDELITY NATL
   INFORMATION SV        EQUITY 31620M106          4         106 SH       DEFINED        4         --         --      106
FIDELITY NATL
   INFORMATION SV        EQUITY 31620M106          4         107 SH       DEFINED        5         --         --      107
FIDUCIARY CLAYMORE MLP
   OPP F                 EQUITY 31647Q106         24       1,166 SH       DEFINED        5         --         --    1,166
FIFTH THIRD BANCORP      EQUITY 316773100      2,557     251,172 SH       SOLE           1    251,172         --       --
FIFTH THIRD BANCORP      EQUITY 316773100          7         653 SH       SOLE           2        653         --       --
FIFTH THIRD BANCORP      EQUITY 316773100          4         439 SH       DEFINED        4         --         --      439
FIFTH THIRD BANCORP      EQUITY 316773100         14       1,389 SH       DEFINED        5         --         --    1,389
FINANCIAL FEDERAL CORP.  EQUITY 317492106        507      23,070 SH       SOLE           1     23,070         --       --
FINANCIAL SELECT SECTOR
   SPDR FUND             EQUITY 81369Y605        405      20,000 SH       SOLE           1     20,000         --       --
FINCANCIAL INSTITUTIONS
   INC                   EQUITY 317585404        160       9,936 SH       SOLE           1      9,936         --       --
FINISAR                  EQUITY 31787A101         11       9,603 SH       DEFINED        5         --         --    9,603
FINISAR CORPORATION      EQUITY 31787A101        333     279,773 SH       SOLE           1    279,773         --       --
FINISH LINE INC          EQUITY 317923100          3         350 SH       DEFINED        5         --         --      350
FINISH LINE, INC.        EQUITY 317923100        336      38,612 SH       SOLE           1     38,612         --       --
FIRST ACCEPTANCE CORP    EQUITY 318457108         50      15,623 SH       SOLE           1     15,623         --       --
FIRST ADVANTAGE CORP     EQUITY 31845F100         31       1,952 SH       DEFINED        4         --         --    1,952
FIRST ADVANTAGE CORP-CL
   A                     EQUITY 31845F100        148       9,312 SH       SOLE           1      9,312         --       --
FIRST AMERICAN CAP
   TRUST CLASS A         EQUITY 318522307      5,725     216,865 SH       SOLE           1    216,865         --       --
FIRST AMERN CORP CALIF   EQUITY 318522307         21         788 SH       DEFINED        5         --         --      788
FIRST BANCORP INC/ME     EQUITY 31866P102        107       7,847 SH       SOLE           1      7,847         --       --
FIRST BANCORP N C        EQUITY 318910106         21       1,650 SH       DEFINED        4         --         --    1,650





                                                                                
FIRST BANCORP NORTH
   CAROLINA              EQUITY 318910106        164      13,007 SH       SOLE           1     13,007         --       --
FIRST BANCORP P R        EQUITY 318672102          1         232 SH       DEFINED        5         --         --      232
FIRST BANCORP/PUERTO
   RICO                  EQUITY 318672102        409      64,441 SH       SOLE           1     64,441         --       --
FIRST BUSEY CORP         EQUITY 319383105        304      23,007 SH       SOLE           1     23,007         --       --
FIRST CASH FINL SVCS INC EQUITY 31942D107        269      17,978 SH       SOLE           1     17,978         --       --
FIRST CITIZENS
   BANCSHARES, INC
   CLASS A               EQUITY 31946M103         28         200 SH       SOLE           1        200         --       --
FIRST COMMONWEALTH
   FINANCIAL             EQUITY 319829107        619      66,299 SH       SOLE           1     66,299         --       --
FIRST COMMUNITY
   BANCSHARES INC        EQUITY 31983A103        232       8,216 SH       SOLE           1      8,216         --       --
FIRST FINANCIAL BANCORP  EQUITY 320209109        312      33,955 SH       SOLE           1     33,955         --       --
FIRST FINANCIAL
   BANKSHARES            EQUITY 32020R109      1,540      33,627 SH       SOLE           1     33,627         --       --
FIRST FINANCIAL CORP.    EQUITY 320218100        314      10,243 SH       SOLE           1     10,243         --       --
FIRST FINANCIAL
   HOLDINGS, INC.        EQUITY 320239106        182      10,568 SH       SOLE           1     10,568         --       --
FIRST FINANCIAL
   NORTHWEST INC         EQUITY 32022K102        206      20,702 SH       SOLE           1     20,702         --       --
FIRST FINL BANCORP OH    EQUITY 320209109          4         400 SH       DEFINED        5         --         --      400
FIRST FINL BANKSHARES
   COM                   EQUITY 32020R109        357       7,800 SH       SOLE           3       7800         --       --
FIRST HORIZON NATIONAL
   CORP                  EQUITY 320517105        615      82,758 SH       SOLE           1     82,758         --       --
FIRST HORIZON NATL CORP  EQUITY 320517105          2         212 SH       SOLE           2        212         --       --
FIRST HORIZON NATL CORP  EQUITY 320517105         37       5,000 SH       DEFINED        5         --         --    5,000
FIRST INDUSTRIAL
   REALITY TRUST         EQUITY 32054K103      1,102      40,131 SH       SOLE           1     40,131         --       --
FIRST INDUSTRIAL REALTY
   TRUS                  EQUITY 32054K103         15         551 SH       DEFINED        4         --         --      551
FIRST INDUSTRIAL REALTY
   TRUS                  EQUITY 32054K103          4         158 SH       DEFINED        5         --         --      158
FIRST MARBLEHEAD CORP    EQUITY 320771108         10       4,000 SH       DEFINED        5         --         --    4,000
FIRST MARBLEHEAD
   CORP/THE              EQUITY 320771108        161      62,607 SH       SOLE           1     62,607         --       --
FIRST MERCHANTS CORP.    EQUITY 320817109        299      16,490 SH       SOLE           1     16,490         --       --
FIRST MERCURY FINANCIAL
   CORP                  EQUITY 320841109        232      13,161 SH       SOLE           1     13,161         --       --
FIRST MIDWEST BANCORP,
   INC.                  EQUITY 320867104        820      43,993 SH       SOLE           1     43,993         --       --
FIRST NIAGARA FINANCIAL
   GRP                   EQUITY 33582V108      4,539     352,976 SH       SOLE           1    352,976         --       --
FIRST NIAGARA FINL GP
   INC                   EQUITY 33582V108          3         258 SH       DEFINED        5         --         --      258
FIRST PLACE FINANCIAL
   CORP                  EQUITY 33610T109        154      16,410 SH       SOLE           1     16,410         --       --
FIRST POTOMAC RLTY TR    EQUITY 33610F109          6         423 SH       DEFINED        4         --         --      423
FIRST SOLAR INC          EQUITY 336433107      1,173       4,300 SH       SOLE           2      4,300         --       --
FIRST SOLAR INC          EQUITY 336433107        108         397 SH       DEFINED        4         --         --      397
FIRST SOLAR INC          EQUITY 336433107         27         100 SH       DEFINED        5         --         --      100
FIRST SOLAR INC COM      EQUITY 336433107      5,975      21,900 SH       SOLE           3       8600         --    13300
FIRST SOUTH BANCORP IN   EQUITY 33646W100         94       7,279 SH       SOLE           1      7,279         --       --
FIRST TR ABERDEEN GLBL
   OPP F                 EQUITY 337319107          3         200 SH       DEFINED        4         --         --      200
FIRST TR STRTGC HIGH
   INCM FD               EQUITY 337347108          6         550 SH       DEFINED        4         --         --      550
FIRST TR VALUE LINE 100
   ETF                   EQUITY 33735G107          2         122 SH       DEFINED        5         --         --      122
FIRSTENERGY CORP         EQUITY 337932107        419       5,087 SH       SOLE           2      5,087         --       --
FIRSTENERGY CORP         EQUITY 337932107         12         150 SH       DEFINED        4         --         --      150
FIRSTENERGY CORP.        EQUITY 337932107     14,370     174,544 SH       SOLE           1    174,544         --       --
FIRSTFED FINANCIAL CORP. EQUITY 337907109        100      12,397 SH       SOLE           1     12,397         --       --
FIRSTFED FINL CORP       EQUITY 337907109          5         666 SH       DEFINED        5         --         --      666
FIRSTMERIT CORP.         EQUITY 337915102      4,243     260,142 SH       SOLE           1    260,142         --       --
FISERV INC               EQUITY 337738108     35,728     787,486 SH       SOLE           2    787,486         --       --
FISERV INC               EQUITY 337738108         46       1,018 SH       DEFINED        5         --         --    1,018
FISERV, INC.             EQUITY 337738108      3,630      80,009 SH       SOLE           1     80,009         --       --
FISHER COMMUNICATIONS
   INC                   EQUITY 337756209        209       6,058 SH       SOLE           1      6,058         --       --
FISHER SCIENTIFIC INTL
   INC                   EQUITY 338032AW5          2           1 PRN      DEFINED        4         --         --        1
FIVE STAR QUALITY CARE
   INC                   EQUITY 33832D106        136      28,823 SH       SOLE           1     28,823         --       --
FLAGSTAR BANCORP, INC.   EQUITY 337930101        118      39,298 SH       SOLE           1     39,298         --       --
FLAHERTY & CRMRN CLYMRE
   T R                   EQUITY 338479108         15       1,000 SH       DEFINED        5         --         --    1,000





                                                                                
FLAHERTY & CRUMRINE PFD
   INC                   EQUITY 338480106        557      53,309 SH       DEFINED        4         --         --   53,309
FLANDERS CORPORATION     EQUITY 338494107         88      14,565 SH       SOLE           1     14,565         --       --
FLEETWOOD ENTERPRISES,
   INC.                  EQUITY 339099103        153      58,210 SH       SOLE           1     58,210         --       --
FLIR SYS INC             EQUITY 302445101        779      19,200 SH       SOLE           2     19,200         --       --
FLIR SYS INC             EQUITY 302445101      6,094     150,200 SH       SOLE           3      59700         --    90500
FLIR SYSTEMS INC (USD)   EQUITY 302445101     12,997     320,361 SH       SOLE           1    320,361         --       --
FLOTEK INDS INC DEL      EQUITY 343389102          6         295 SH       DEFINED        4         --         --      295
FLOTEK INDUSTRIES INC    EQUITY 343389102        423      20,526 SH       SOLE           1     20,526         --       --
FLOW INTERNATIONAL CORP  EQUITY 343468104        266      34,050 SH       SOLE           1     34,050         --       --
FLOWERS FOODS INC        EQUITY 343498101      1,985      70,035 SH       SOLE           1     70,035         --       --
FLOWERS FOODS INC        EQUITY 343498101        598      21,100 SH       SOLE           2     21,100         --       --
FLOWSERVE CORP           EQUITY 34354P105         22         160 SH       DEFINED        4         --         --      160
FLOWSERVE CORP COM       EQUITY 34354P105      8,968      65,600 SH       SOLE           3      28500         --    37100
FLOWSERVE CORP.          EQUITY 34354P105     18,420     134,745 SH       SOLE           1    134,745         --       --
FLUOR CORP               EQUITY 343412102      8,814      47,365 SH       SOLE           1     47,365         --       --
FLUOR CORP NEW           EQUITY 343412102         93         501 SH       SOLE           2        501         --       --
FLUOR CORP NEW           EQUITY 343412102         97         521 SH       DEFINED        4         --         --      521
FLUOR CORP NEW COM       EQUITY 343412102      9,806      52,700 SH       SOLE           3     21,300         --   31,400
FLUSHING FINANCIAL CORP  EQUITY 343873105        368      19,397 SH       SOLE           1     19,397         --       --
FMC CORP.                EQUITY 302491303     13,559     175,086 SH       SOLE           1    175,086         --       --
FMC TECHNOLOGIES INC     EQUITY 30249U101     30,975     402,637 SH       SOLE           1    402,637         --       --
FMC TECHNOLOGIES INC     EQUITY 30249U101        247       3,215 SH       DEFINED        4         --         --    3,215
FNB CORP.                EQUITY 302520101        918      77,908 SH       SOLE           1     77,908         --       --
FOCUS MEDIA HLDG LTD     EQUITY 34415V109        305      11,000 SH       SOLE           2     11,000         --       --
FOCUS MEDIA HLDG LTD     EQUITY 34415V109          2          65 SH       DEFINED        5         --         --       65
FOCUS MEDIA HOLDING-ADR  EQUITY 34415V109        165       5,941 SH       SOLE           1      5,941         --       --
FOMENTO ECONOMICO MEX
   -SP ADR               EQUITY 344419106     23,037     506,194 SH       SOLE           1    506,194         --       --
FOOT LOCKER INC          EQUITY 344849104      4,518     362,928 SH       SOLE           1    362,928         --       --
FORCE PROTECTION INC     EQUITY 345203202        205      61,824 SH       SOLE           1     61,824         --       --
FORCE PROTECTION INC     EQUITY 345203202         11       3,250 SH       DEFINED        5         --         --    3,250
FORD MOTOR CO.           EQUITY 345370860      4,748     987,032 SH       SOLE           1    987,032         --       --
FORD MTR CO CAP TR II    EQUITY 345395206        922      33,300 SH       DEFINED        5         --         --   33,300
FORD MTR CO DEL          EQUITY 345370860         20       4,105 SH       DEFINED        4         --         --    4,105
FORD MTR CO DEL          EQUITY 345370860        217      45,180 SH       DEFINED        5         --         --   45,180
FORDING CANADIAN COAL
   TRUST                 EQUITY 345425102      4,295      44,905 SH       OTHER          1         --     44,905       --
FORDING CDN COAL TR      EQUITY 345425102         54         562 SH       DEFINED        4         --         --      562
FORDING CDN COAL TR      EQUITY 345425102         94         986 SH       DEFINED        5         --         --      986
FOREST CITY
   ENTERPRISES, INC.
   CLASS A               EQUITY 345550107         55       1,708 SH       SOLE           1      1,708         --       --
FOREST LABORATORIES,
   INC.                  EQUITY 345838106     12,368     356,007 SH       SOLE           1    356,007         --       --
FOREST LABS INC          EQUITY 345838106         12         346 SH       SOLE           2        346         --       --
FOREST LABS INC          EQUITY 345838106         14         400 SH       DEFINED        4         --         --      400
FOREST OIL CORP          EQUITY 346091705     15,499     208,041 SH       SOLE           1    208,041         --       --
FORESTAR REAL ESTATE
   GROUP INC             EQUITY 346233109        615      32,266 SH       SOLE           1     32,266         --       --
FORMFACTOR INC           EQUITY 346375108        815      44,226 SH       SOLE           1     44,226         --       --
FORRESTER RESEARCH, INC. EQUITY 346563109        435      14,072 SH       SOLE           1     14,072         --       --
FORTRESS INVESTMENT
   GROUP LL              EQUITY 34958B106         89       7,200 SH       DEFINED        5         --         --    7,200
FORTUNE BRANDS INC       EQUITY 349631101         11         175 SH       SOLE           2        175         --       --
FORTUNE BRANDS INC       EQUITY 349631101         12         187 SH       DEFINED        4         --         --      187
FORTUNE BRANDS INC       EQUITY 349631101         46         733 SH       DEFINED        5         --         --      733
FORTUNE BRANDS INC       EQUITY 349631200          6          14 SH       DEFINED        5         --         --       14
FORTUNE BRANDS, INC.     EQUITY 349631101      4,180      66,977 SH       SOLE           1     66,977         --       --
FORWARD AIR CORP         EQUITY 349853101        904      26,115 SH       SOLE           1     26,115         --       --





                                                                                
FORWARD AIR CORP         EQUITY 349853101        522      15,100 SH       SOLE           2     15,100         --       --
FORWARD AIR CORP         EQUITY 349853101      1,019      29,461 SH       DEFINED        5         --         --   29,461
FOSSIL INC               EQUITY 349882100        581      20,000 SH       SOLE           2     20,000         --       --
FOSSIL INC COM           EQUITY 349882100        547      18,800 SH       SOLE           3      18800         --       --
FOSSIL, INC.             EQUITY 349882100      2,241      77,089 SH       SOLE           1     77,089         --       --
FOSTER L B CO            EQUITY 350060109          3         100 SH       DEFINED        4         --         --      100
FOSTER WHEELER LTD       EQUITY G36535139         51         695 SH       DEFINED        4         --         --      695
FOSTER WHEELER LTD       EQUITY G36535139         97       1,332 SH       DEFINED        5         --         --    1,332
FOUNDATION COAL HLDGS
   COM                   EQUITY 35039W100        691       7,800 SH       SOLE           3       7800         --       --
FOUNDATION COAL
   HOLDINGS INC          EQUITY 35039W100      1,403      15,844 SH       SOLE           1     15,844         --       --
FOUNDRY NETWORKS INC     EQUITY 35063R100      5,546     469,238 SH       SOLE           1    469,238         --       --
FOUNDRY NETWORKS INC     EQUITY 35063R100        969      82,000 SH       SOLE           2     82,000         --       --
FOUNDRY NETWORKS INC     EQUITY 35063R100         38       3,256 SH       DEFINED        5         --         --    3,256
FOX CHASE BANCORP INC    EQUITY 35137P106         57       5,591 SH       SOLE           1      5,591         --       --
FPIC INS GROUP INC       EQUITY 302563101        362       7,980 SH       SOLE           1      7,980         --       --
FPIC INS GROUP INC       EQUITY 302563101        530      11,700 SH       SOLE           2     11,700         --       --
FPL GROUP INC            EQUITY 302571104      6,053      92,299 SH       SOLE           2     92,299         --       --
FPL GROUP INC            EQUITY 302571104        122       1,866 SH       DEFINED        4         --         --    1,866
FPL GROUP INC            EQUITY 302571104        230       3,513 SH       DEFINED        5         --         --    3,513
FPL GROUP, INC.          EQUITY 302571104     10,927     166,614 SH       SOLE           1    166,614         --       --
FRANCE TELECOM           EQUITY 35177Q105          1          41 SH       DEFINED        4         --         --       41
FRANCE TELECOM           EQUITY 35177Q105          6         200 SH       DEFINED        5         --         --      200
FRANKLIN ELECTRIC CO.,
   INC.                  EQUITY 353514102        803      20,714 SH       SOLE           1     20,714         --       --
FRANKLIN RES INC         EQUITY 354613101      4,516      49,277 SH       SOLE           2     49,277         --       --
FRANKLIN RESOURCES, INC. EQUITY 354613101      8,011      87,413 SH       SOLE           1     87,413         --       --
FRANKLIN TEMPLETON LTD
   DUR I                 EQUITY 35472T101         21       1,858 SH       DEFINED        4         --         --    1,858
FRANKLIN TEMPLETON LTD
   DUR I                 EQUITY 35472T101         15       1,300 SH       DEFINED        5         --         --    1,300
FREDDIE MAC              EQUITY 313400301      5,534     337,417 SH       SOLE           1    337,417         --       --
FRED'S INC.              EQUITY 356108100        407      36,166 SH       SOLE           1     36,166         --       --
FREEPORT MCMORAN COPPER
   +                     EQUITY 35671D857      6,029   1,622,183 SH       SOLE           2  1,622,183         --       --
FREEPORT-MCMORAN COPPER
   & GO                  EQUITY 35671D857        153       1,305 SH       DEFINED        4         --         --    1,305
FREEPORT-MCMORAN COPPER
   & GO                  EQUITY 35671D857      1,126       9,607 SH       DEFINED        5         --         --    9,607
FREEPORT-MCMORAN COPPER
   & GOLD COMMON         EQUITY 35671D857     34,873     297,575 SH       SOLE           1    297,575         --       --
FREIGHTCAR AMERICA INC   EQUITY 357023100        381      10,739 SH       SOLE           1     10,739         --       --
FRESH DEL MONTE PRODUCE  EQUITY G36738105        152       6,450 SH       SOLE           2      6,450         --       --
FRIEDMAN BILLINGS
   RAMSEY GRO            EQUITY 358434108         31      20,812 SH       DEFINED        5         --         --   20,812
FRIEDMAN BILLINGS
   RAMSEY-A              EQUITY 358434108        201     133,945 SH       SOLE           1    133,945         --       --
FRONTEER DEV GROUP INC   EQUITY 35903Q106          5         989 SH       DEFINED        5         --         --      989
FRONTIER FINANCIAL CORP. EQUITY 35907K105        363      42,585 SH       SOLE           1     42,585         --       --
FRONTIER FINL CORP WASH  EQUITY 35907K105         41       4,771 SH       DEFINED        5         --         --    4,771
FRONTIER OIL CORP        EQUITY 35914P105         97       4,065 SH       DEFINED        5         --         --    4,065
FRONTIER OIL CORP.       EQUITY 35914P105      5,800     242,593 SH       SOLE           1    242,593         --       --
FRONTLINE LTD            EQUITY G3682E127      7,746     111,000 SH       SOLE           2    111,000         --       --
FRONTLINE LTD            EQUITY G3682E127        492       7,054 SH       DEFINED        4         --         --    7,054
FRONTLINE LTD            EQUITY G3682E127        405       5,810 SH       DEFINED        5         --         --    5,810
FTD GROUP INC            EQUITY 30267U108        244      18,295 SH       SOLE           1     18,295         --       --
FTI CONSULTING INC       EQUITY 302941109         79       1,154 SH       SOLE           1      1,154         --       --
FTI CONSULTING INC       EQUITY 302941109      1,027      15,000 SH       SOLE           2     15,000         --       --
FUEL SYSTEMS SOLUTIONS
   INC                   EQUITY 35952W103        422      10,950 SH       SOLE           1     10,950         --       --
FUEL TECH INC            EQUITY 359523107        282      16,030 SH       SOLE           1     16,030         --       --
FUEL TECH INC            EQUITY 359523107         14         800 SH       DEFINED        4         --         --      800
FUEL TECH INC            EQUITY 359523107          8         475 SH       DEFINED        5         --         --      475





                                                                                
FUELCELL ENERGY INC      EQUITY 35952H106        441      62,127 SH       SOLE           1     62,127         --       --
FULTON FIN CORP          EQUITY 360271100         58       5,765 SH       SOLE           1      5,765         --       --
FULTON FINL CORP PA      EQUITY 360271100        147      14,650 SH       SOLE           2     14,650         --       --
FULTON FINL CORP PA      EQUITY 360271100          1         105 SH       DEFINED        5         --         --      105
FUQI INTERNATIONAL INC   EQUITY 36102A207         77       8,833 SH       SOLE           1      8,833         --       --
FURMANITE CORP           EQUITY 361086101        263      32,993 SH       SOLE           1     32,993         --       --
FURMANITE CORPORATION
   COM                   EQUITY 361086101        872     109,300 SH       SOLE           3     109300         --       --
FURNITURE BRANDS
   INTERNATIONAL         EQUITY 360921100      2,011     150,538 SH       SOLE           1    150,538         --       --
FUSHI COPPERWELD INC     EQUITY 3.6113E+111      310      13,059 SH       SOLE           1     13,059         --       --
FUSHI COPPERWELD INC     EQUITY 3.6113E+111      949      40,000 SH       SOLE           2     40,000         --       --
FX ENERGY INC            EQUITY 302695101        192      36,510 SH       SOLE           1     36,510         --       --
FX REAL ESTATE AND
   ENTERTAINMENT INC     EQUITY 302709100         18       9,357 SH       SOLE           1      9,357         --       --
G & K SERVICES, INC.
   CLASS A               EQUITY 361268105        546      17,913 SH       SOLE           1     17,913         --       --
G + K SERVICES           EQUITY 361268105        930      30,543 SH       SOLE           2     30,543         --       --
GABELLI CONV & INCOME
   SECS F                EQUITY 36240B109         18       2,500 SH       DEFINED        5         --         --    2,500
GABELLI EQUITY TR INC    EQUITY 362397101        115      14,164 SH       DEFINED        5         --         --   14,164
GABELLI GLB GLD NAT RES
   & IN                  EQUITY 36244N109         23         755 SH       DEFINED        5         --         --      755
GABELLI GLOBAL
   MULTIMEDIA TR         EQUITY 36239Q109          1         144 SH       DEFINED        5         --         --      144
GABELLI HLTHCARE &
   WELLNESS              EQUITY 36246K103          2         289 SH       DEFINED        4         --         --      289
GABELLI HLTHCARE &
   WELLNESS              EQUITY 36246K103         10       1,645 SH       DEFINED        5         --         --    1,645
GABELLI UTIL TR          EQUITY 36240A101         46       4,932 SH       DEFINED        5         --         --    4,932
GAFISA S A               EQUITY 362607301        131       3,825 SH       DEFINED        4         --         --    3,825
GAIAM INC                EQUITY 36268Q103        220      16,273 SH       SOLE           1     16,273         --       --
GALLAGHER ARTHUR J & CO  EQUITY 363576109          7         300 SH       DEFINED        5         --         --      300
GALLAGHER, ARTHUR J & CO EQUITY 363576109     18,682     775,176 SH       SOLE           1    775,176         --       --
GAMCO INVESTORS INC      EQUITY 361438104        340       6,862 SH       SOLE           1      6,862         --       --
GAMESTOP CORP NEW        EQUITY 36467W109        697      17,242 SH       SOLE           2     17,242         --       --
GAMESTOP CORP-CL A       EQUITY 36467W109     32,707     809,581 SH       SOLE           1    809,581         --       --
GAMING PARTNERS INTL
   CORP                  EQUITY 36467A107          1         343 SH       DEFINED        5         --         --      343
GAMMON GOLD INC          EQUITY 36467T106          5         500 SH       DEFINED        5         --         --      500
GANNETT CO., INC.        EQUITY 364730101      8,367     386,118 SH       SOLE           1    386,118         --       --
GANNETT INC              EQUITY 364730101      4,455     205,582 SH       SOLE           2    205,582         --       --
GAP INC                  EQUITY 364760108        164       9,860 SH       SOLE           2      9,860         --       --
GAP INC DEL              EQUITY 364760108         69       4,123 SH       DEFINED        4         --         --    4,123
GAP INC DEL              EQUITY 364760108         10         600 SH       DEFINED        5         --         --      600
GAP, INC.                EQUITY 364760108     13,428     805,546 SH       SOLE           1    805,546         --       --
GARDNER DENVER INC       EQUITY 365558105        974      17,150 SH       SOLE           2     17,150         --       --
GARDNER DENVER INC       EQUITY 365558105         44         775 SH       DEFINED        4         --         --      775
GARDNER DENVER INC       EQUITY 365558105         24         425 SH       DEFINED        5         --         --      425
GARDNER DENVER, INC.     EQUITY 365558105         99       1,739 SH       SOLE           1      1,739         --       --
GARMIN LTD               EQUITY G37260109         12         282 SH       DEFINED        4         --         --      282
GARMIN LTD               EQUITY G37260109        109       2,555 SH       DEFINED        5         --         --    2,555
GARTNER INC. CLASS A     EQUITY 366651107      4,099     197,825 SH       SOLE           1    197,825         --       --
GASCO ENERGY INC         EQUITY 367220100        352      84,898 SH       SOLE           1     84,898         --       --
GASCO ENERGY INC         EQUITY 367220100          5       1,200 SH       DEFINED        4         --         --    1,200
GATEHOUSE MEDIA INC      EQUITY 367348109         70      28,651 SH       SOLE           1     28,651         --       --
GATX CORP.               EQUITY 361448103      4,768     107,568 SH       SOLE           1    107,568         --       --
GAYLORD ENTERTAINMENT
   CO.                   EQUITY 367905106        887      37,002 SH       SOLE           1     37,002         --       --
GCI, INC.                EQUITY 369385109        281      40,959 SH       SOLE           1     40,959         --       --
GEHL COMPANY             EQUITY 368483103        139       9,408 SH       SOLE           1      9,408         --       --
GEN PROBE INC NEW        EQUITY 36866T103        522      11,000 SH       SOLE           2     11,000         --       --
GENCO SHIPPING &
   TRADING LTD           EQUITY Y2685T107         10         159 SH       DEFINED        4         --         --      159





                                                                                
GENCO SHIPPING +
   TRADING L             EQUITY Y2685T107      3,407      52,250 SH       SOLE           2     52,250         --       --
GENCORP, INC.            EQUITY 368682100        370      51,636 SH       SOLE           1     51,636         --       --
GENENTECH INC            EQUITY 368710406      4,349      57,300 SH       SOLE           2     57,300         --       --
GENENTECH INC            EQUITY 368710406          3          35 SH       DEFINED        4         --         --       35
GENENTECH, INC.          EQUITY 368710406     12,777     168,338 SH       SOLE           1    168,338         --       --
GENERAL AMERN INVS INC   EQUITY 368802104          4         109 SH       DEFINED        4         --         --      109
GENERAL CABLE CORP DEL
   NEW                   EQUITY 369300108          9         144 SH       DEFINED        5         --         --      144
GENERAL CABLE CORP.      EQUITY 369300108         74       1,214 SH       SOLE           1      1,214         --       --
GENERAL DYNAMICS CORP    EQUITY 369550108      7,459      88,591 SH       SOLE           2     88,591         --       --
GENERAL DYNAMICS CORP    EQUITY 369550108        120       1,421 SH       DEFINED        4         --         --    1,421
GENERAL DYNAMICS CORP    EQUITY 369550108         87       1,030 SH       DEFINED        5         --         --    1,030
GENERAL DYNAMICS CORP.   EQUITY 369550108     27,011     320,797 SH       SOLE           1    320,797         --       --
GENERAL ELEC CO          EQUITY 369604103     30,322   1,367,439 SH       SOLE           2  1,367,439         --       --
GENERAL ELECTRIC CO      EQUITY 369604103    171,427   6,422,900 SH       SOLE           1  6,422,900         --       --
GENERAL ELECTRIC CO      EQUITY 369604103      2,039      76,387 SH       DEFINED        4         --         --   76,387
GENERAL ELECTRIC CO      EQUITY 369604103      2,320      86,905 SH       DEFINED        5         --         --   86,905
GENERAL GROWTH PPTYS INC EQUITY 370021107         11         304 SH       SOLE           2        304         --       --
GENERAL GROWTH
   PROPERTIES INC        EQUITY 370021107      4,046     115,510 SH       SOLE           1    115,510         --       --
GENERAL MARITIME CORP    EQUITY Y2692M103        487      18,750 SH       DEFINED        5         --         --   18,750
GENERAL MILLS, INC.      EQUITY 370334104     23,924     393,688 SH       SOLE           1    393,688         --       --
GENERAL MLS INC          EQUITY 370334104        246       4,041 SH       SOLE           2      4,041         --       --
GENERAL MLS INC          EQUITY 370334104        168       2,763 SH       DEFINED        4         --         --    2,763
GENERAL MLS INC          EQUITY 370334104         26         421 SH       DEFINED        5         --         --      421
GENERAL MOLY INC         EQUITY 370373102        447      56,822 SH       SOLE           1     56,822         --       --
GENERAL MOTORS CORP      EQUITY 370442105      5,036     437,914 SH       SOLE           1    437,914         --       --
GENERAL MTRS CORP        EQUITY 370442717         11         800 SH       DEFINED        4         --         --      800
GENERAL MTRS CORP        EQUITY 370442105          7         652 SH       DEFINED        4         --         --      652
GENERAL MTRS CORP        EQUITY 370442105         65       5,688 SH       DEFINED        5         --         --    5,688
GENERAL MTRS CORP        EQUITY 370442717         66       5,000 SH       DEFINED        5         --         --    5,000
GENERAL STEEL HOLDINGS
   INC                   EQUITY 370853103        153       9,751 SH       SOLE           1      9,751         --       --
GENESCO INC              EQUITY 371532102         12         387 SH       DEFINED        5         --         --      387
GENESCO, INC.            EQUITY 371532102        648      20,989 SH       SOLE           1     20,989         --       --
GENESEE & WYO INC        EQUITY 371559105      1,762      51,784 SH       SOLE           1     51,784         --       --
GENESEE & WYO INC        EQUITY 371559105         11         316 SH       DEFINED        5         --         --      316
GENESEE & WYO INC CL A   EQUITY 371559105        429      12,600 SH       SOLE           3      12600         --       --
GENESIS ENERGY L P       EQUITY 371927104          7         400 SH       DEFINED        4         --         --      400
GENESIS LEASE LTD        EQUITY 37183T107          9         850 SH       DEFINED        4         --         --      850
GENESIS LEASE LTD        EQUITY 37183T107         45       4,400 SH       DEFINED        5         --         --    4,400
GENOMIC HEALTH INC       EQUITY 37244C101        242      12,614 SH       SOLE           1     12,614         --       --
GENOPTIX INC             EQUITY 37243V100        238       7,535 SH       SOLE           1      7,535         --       --
GEN-PROBE INC            EQUITY 36866T103      6,165     129,753 SH       SOLE           1    129,753         --       --
GENTEK INC               EQUITY 37245X203        218       8,123 SH       SOLE           1      8,123         --       --
GENTEX CORP.             EQUITY 371901109      4,814     333,387 SH       SOLE           1    333,387         --       --
GENTIVA HEALTH SERVICES  EQUITY 37247A102        439      23,036 SH       SOLE           1     23,036         --       --
GENUINE PARTS CO         EQUITY 372460105      2,347      59,150 SH       SOLE           2     59,150         --       --
GENUINE PARTS CO.        EQUITY 372460105      4,501     113,424 SH       SOLE           1    113,424         --       --
GENWORTH FINANCIAL
   INC-CL A              EQUITY 37247D106      4,844     271,963 SH       SOLE           1    271,963         --       --
GENWORTH FINL INC        EQUITY 37247D106         85       4,792 SH       SOLE           2      4,792         --       --
GENZYME CORP             EQUITY 372917104     10,628     147,856 SH       SOLE           1    147,856         --       --
GENZYME CORP             EQUITY 372917104      8,021     111,371 SH       SOLE           2    111,371         --       --
GENZYME CORP             EQUITY 372917104         13         185 SH       DEFINED        4         --         --      185
GEO GROUP INC            EQUITY 36159R103      1,039      46,188 SH       SOLE           1     46,188         --       --





                                                                                
GEOEYE INC               EQUITY 37250W108      3,542     200,000 SH       SOLE           1    200,000         --       --
GEOGLOBAL RESOURCES INC  EQUITY 37249T109         73      34,406 SH       SOLE           1     34,406         --       --
GEOKINETICS INC          EQUITY 372910307         78       4,330 SH       SOLE           1      4,330         --       --
GEOMET INC               EQUITY 37250U201        158      16,719 SH       SOLE           1     16,719         --       --
GEORESOURCES INC         EQUITY 372476101         92       4,980 SH       SOLE           1      4,980         --       --
GERBER SCIENTIFIC, INC.  EQUITY 373730100        244      21,442 SH       SOLE           1     21,442         --       --
GERDAU AMERISTEEL CORP   EQUITY 37373P105         66       3,400 SH       OTHER          1         --      3,400       --
GERDAU S A               EQUITY 373737105         68       2,832 SH       DEFINED        4         --         --    2,832
GERDAU S A               EQUITY 373737105         62       2,574 SH       DEFINED        5         --         --    2,574
GERDAU SA                EQUITY 373737105     54,034   2,250,460 SH       SOLE           1  2,250,460         --       --
GERON CORP               EQUITY 374163103        243      70,572 SH       SOLE           1     70,572         --       --
GERON CORP               EQUITY 374163103        126      36,590 SH       DEFINED        5         --         --   36,590
GETTY IMAGES INC         EQUITY 374276103      4,617     136,069 SH       SOLE           1    136,069         --       --
GETTY IMAGES INC         EQUITY 374276103         30         873 SH       DEFINED        4         --         --      873
GEVITY HR INC            EQUITY 374393106        114      21,118 SH       SOLE           1     21,118         --       --
GFI GROUP INC            EQUITY 361652209        539      59,870 SH       SOLE           1     59,870         --       --
GIBRALTAR INDS INC       EQUITY 374689107          8         503 SH       DEFINED        5         --         --      503
GIBRALTAR INDUSTRIES INC EQUITY 374689107        389      24,353 SH       SOLE           1     24,353         --       --
GIGAMEDIA LTD            EQUITY Y2711Y104          5         400 SH       DEFINED        5         --         --      400
G-III APPAREL GROUP LTD  EQUITY 36237H101        148      11,977 SH       SOLE           1     11,977         --       --
GILDAN ACTIVEWEAR INC    EQUITY 375916103         81       3,132 SH       OTHER          1         --      3,132       --
GILDAN ACTIVEWEAR INC    EQUITY 375916103        135       5,222 SH       DEFINED        4         --         --    5,222
GILEAD SCIENCES INC      EQUITY 375558103      9,950     187,909 SH       SOLE           2    187,909         --       --
GILEAD SCIENCES INC      EQUITY 375558103         82       1,554 SH       DEFINED        4         --         --    1,554
GILEAD SCIENCES INC      EQUITY 375558103         61       1,152 SH       DEFINED        5         --         --    1,152
GILEAD SCIENCES, INC.    EQUITY 375558103     47,067     888,895 SH       SOLE           1    888,895         --       --
GLACIER BANCORP, INC.    EQUITY 37637Q105        781      48,873 SH       SOLE           1     48,873         --       --
GLADSTONE CAPITAL CORP   EQUITY 376535100        291      19,104 SH       SOLE           1     19,104         --       --
GLADSTONE CAPITAL CORP   EQUITY 376535100        117       7,669 SH       DEFINED        4         --         --    7,669
GLADSTONE INVESTMENT
   CORP                  EQUITY 376546107        129      20,002 SH       SOLE           1     20,002         --       --
GLATFELTER, P.H. CO.     EQUITY 377316104        554      40,976 SH       SOLE           1     40,976         --       --
GLAXOSMITHKLINE PLC      EQUITY 37733W105         28         622 SH       DEFINED        4         --         --      622
GLAXOSMITHKLINE PLC      EQUITY 37733W105        125       2,822 SH       DEFINED        5         --         --    2,822
GLG PARTNERS INC         EQUITY 37929X107          9       1,130 SH       SOLE           1      1,130         --       --
GLOBAL CASH ACCESS INC   EQUITY 378967103        249      36,338 SH       SOLE           1     36,338         --       --
GLOBAL HIGH INCOME FUND
   INC                   EQUITY 37933G108         12         900 SH       DEFINED        5         --         --      900
GLOBAL INDS LTD          EQUITY 379336100         22       1,249 SH       DEFINED        4         --         --    1,249
GLOBAL INDUSTRIES INC    EQUITY 379336100     16,067     896,100 SH       SOLE           2    896,100         --       --
GLOBAL INDUSTRIES LT     EQUITY 379336100        476      26,566 SH       SOLE           1     26,566         --       --
GLOBAL PAYMENTS INC.     EQUITY 37940X102      8,650     185,631 SH       SOLE           1    185,631         --       --
GLOBAL PMTS INC          EQUITY 37940X102         42         897 SH       DEFINED        4         --         --      897
GLOBAL PMTS INC          EQUITY 37940X102          3          60 SH       DEFINED        5         --         --       60
GLOBAL SOURCES LTD       EQUITY G39300101        105       6,930 SH       SOLE           2      6,930         --       --
GLOBAL SOURCES LTD       EQUITY G39300101          4         237 SH       DEFINED        4         --         --      237
GLOBAL TRAFFIC NETWORK
   COM                   EQUITY 37947B103      1,738     194,400 SH       SOLE           3     194400         --       --
GLOBAL TRAFFIC NETWORK
   INC                   EQUITY 37947B103         96      10,723 SH       SOLE           1     10,723         --       --
GLOBALSTAR INC           EQUITY 378973408        108      37,991 SH       SOLE           1     37,991         --       --
GLOBECOMM SYSTEMS INC    EQUITY 37956X103        151      18,266 SH       SOLE           1     18,266         --       --
GLOBECOMM SYSTEMS INC
   COM                   EQUITY 37956X103      1,218     147,400 SH       SOLE           3     147400         --       --
GMARKET INC              EQUITY 38012G100         23       1,100 SH       DEFINED        5         --         --    1,100
GMX RESOURCES INC        EQUITY 38011M108        983      13,260 SH       SOLE           1     13,260         --       --
GOLDCORP INC NEW         EQUITY 380956409        112       2,431 SH       DEFINED        5         --         --    2,431





                                                                                
GOLDCORP INC.            EQUITY 380956409     11,366     245,339 SH       OTHER          1         --    245,339       --
GOLDMAN SACHS GROUP INC  EQUITY 38141G104     30,761     175,880 SH       SOLE           1    175,880         --       --
GOLDMAN SACHS GROUP INC  EQUITY 38141G104      5,540      86,389 SH       SOLE           2     86,389         --       --
GOLDMAN SACHS GROUP INC  EQUITY 38141G104         29         167 SH       DEFINED        4         --         --      167
GOLDMAN SACHS GROUP INC  EQUITY 38141G104        526       3,008 SH       DEFINED        5         --         --    3,008
GOODRICH CORP            EQUITY 382388106          7         142 SH       SOLE           2        142         --       --
GOODRICH CORP            EQUITY 382388106          7         153 SH       DEFINED        4         --         --      153
GOODRICH CORP            EQUITY 382388106          4          80 SH       DEFINED        5         --         --       80
GOODRICH CORP.           EQUITY 382388106      2,675      56,371 SH       SOLE           1     56,371         --       --
GOODRICH PETE CORP       EQUITY 382410405        680       8,200 SH       SOLE           2      8,200         --       --
GOODRICH PETE CORP COM
   NEW                   EQUITY 382410405        746       9,000 SH       SOLE           3       9000         --       --
GOODRICH PETROLEUM CORP  EQUITY 382410405      2,986      36,016 SH       SOLE           1     36,016         --       --
GOODYEAR TIRE & RUBBER
   CO.                   EQUITY 382550101      2,471     138,611 SH       SOLE           1    138,611         --       --
GOODYEAR TIRE & RUBR CO  EQUITY 382550101         17         937 SH       DEFINED        5         --         --      937
GOODYEAR TIRE AND RUBBER EQUITY 382550101          5         274 SH       SOLE           2        274         --       --
GOOGLE INC               EQUITY 38259P508     85,063     161,588 SH       SOLE           1    161,588         --       --
GOOGLE INC               EQUITY 38259P508     16,345      31,049 SH       SOLE           2     31,049         --       --
GOOGLE INC               EQUITY 38259P508         41          78 SH       DEFINED        4         --         --       78
GOOGLE INC               EQUITY 38259P508        553       1,051 SH       DEFINED        5         --         --    1,051
GORMAN RUPP CO COM       EQUITY 383082104        518      12,996 SH       SOLE           1     12,996         --       --
GPO TELEVISA SA
   ADR-REPR 20           EQUITY 40049J206     38,639   1,635,849 SH       SOLE           1  1,635,849         --       --
GRACE, W.R. & CO.        EQUITY 38388F108      1,534      65,323 SH       SOLE           1     65,323         --       --
GRACO INC                EQUITY 384109104          6         150 SH       DEFINED        4         --         --      150
GRACO INC                EQUITY 384109104        175       4,600 SH       DEFINED        5         --         --    4,600
GRACO, INC.              EQUITY 384109104      5,387     141,494 SH       SOLE           1    141,494         --       --
GRAFTECH INTERNATIONAL
   LTD                   EQUITY 384313102      2,509      93,502 SH       SOLE           1     93,502         --       --
GRAFTECH INTL LTD        EQUITY 384313102      1,085      40,450 SH       SOLE           2     40,450         --       --
GRAFTECH INTL LTD        EQUITY 384313102          5         200 SH       DEFINED        5         --         --      200
GRAHAM CORP              EQUITY 384556106        333       4,494 SH       SOLE           1      4,494         --       --
GRAHAM CORP              EQUITY 384556106          1          20 SH       DEFINED        4         --         --       20
GRAINGER W W INC         EQUITY 384802104          6          74 SH       SOLE           2         74         --       --
GRAINGER W W INC         EQUITY 384802104          2          28 SH       DEFINED        5         --         --       28
GRAN TIERRA ENERGY INC   EQUITY 38500T101        689      86,466 SH       SOLE           1     86,466         --       --
GRAN TIERRA ENERGY INC   EQUITY 38500T101          2         200 SH       DEFINED        4         --         --      200
GRAN TIERRA ENERGY INC   EQUITY 38500T101          4         500 SH       DEFINED        5         --         --      500
GRANITE CONSTR INC       EQUITY 387328107         11         335 SH       DEFINED        4         --         --      335
GRANITE CONSTRUCTION,
   INC.                  EQUITY 387328107      3,292     104,394 SH       SOLE           1    104,394         --       --
GRAPHIC PACKAGING
   HOLDING CO            EQUITY 388689101        264     130,906 SH       SOLE           1    130,906         --       --
GRAY TELEVISION INC      EQUITY 389375106        111      38,684 SH       SOLE           1     38,684         --       --
GREAT ATLANTIC &
   PACIFIC TEA CO        EQUITY 390064103        729      31,948 SH       SOLE           1     31,948         --       --
GREAT LAKES DREDGE &
   DOCK CORP             EQUITY 390607109        220      36,064 SH       SOLE           1     36,064         --       --
GREAT NORTHN IRON ORE
   PPTYS                 EQUITY 391064102          3          30 SH       DEFINED        4         --         --       30
GREAT PLAINS ENERGY INC  EQUITY 391164100      5,121     202,562 SH       SOLE           1    202,562         --       --
GREAT PLAINS ENERGY INC  EQUITY 391164100          6         250 SH       DEFINED        4         --         --      250
GREAT PLAINS ENERGY INC  EQUITY 391164100          9         350 SH       DEFINED        5         --         --      350
GREAT WOLF RESORTS INC   EQUITY 391523107        107      24,382 SH       SOLE           1     24,382         --       --
GREATBATCH INC           EQUITY 39153L106        358      20,714 SH       SOLE           1     20,714         --       --
GREATBATCH INC           EQUITY 39153L106          9         500 SH       DEFINED        5         --         --      500
GREEN BANKSHARES INC     EQUITY 394361208        165      11,778 SH       SOLE           1     11,778         --       --
GREEN MOUNTAIN COFFEE
   ROASTE                EQUITY 393122106        586      15,586 SH       SOLE           1     15,586         --       --
GREEN MTN COFFEE
   ROASTERS IN           EQUITY 393122106          4         100 SH       DEFINED        5         --         --      100
GREENBRIER COMPANIES INC EQUITY 393657101        301      14,826 SH       SOLE           1     14,826         --       --





                                                                                
GREENFIELD ONLINE        EQUITY 395150105        356      23,844 SH       SOLE           1     23,844         --       --
GREENHAVEN CONT CMDTY
   INDEX                 EQUITY 395258106         82       2,215 SH       DEFINED        5         --         --    2,215
GREENHILL & CO INC       EQUITY 395259104        845      15,691 SH       SOLE           1     15,691         --       --
GREENHUNTER ENERGY INC   EQUITY 39530A104         53       3,890 SH       SOLE           1      3,890         --       --
GREENHUNTER ENERGY INC
   COM                   EQUITY 39530A104        861      63,000 SH       SOLE           3      63000         --       --
GREIF INC                EQUITY 397624107        583       9,100 SH       SOLE           2      9,100         --       --
GREIF INC                EQUITY 397624107          6         100 SH       DEFINED        5         --         --      100
GREIF INC CL A           EQUITY 397624107         49         767 SH       SOLE           1        767         --       --
GREY WOLF, INC.          EQUITY 397888108      1,463     162,009 SH       SOLE           1    162,009         --       --
GRIFFIN LAND &
   NURSERIES INC         EQUITY 398231100         93       3,025 SH       SOLE           1      3,025         --       --
GRIFFON CORP.            EQUITY 398433102        212      24,248 SH       SOLE           1     24,248         --       --
GROUP 1 AUTOMOTIVE, INC. EQUITY 398905109        417      21,005 SH       SOLE           1     21,005         --       --
GRUBB & ELLIS CO         EQUITY 400095204        121      31,443 SH       SOLE           1     31,443         --       --
GSI COMMERCE INC         EQUITY 36238G102        290      21,271 SH       SOLE           1     21,271         --       --
GTX INC                  EQUITY 40052B108        242      16,873 SH       SOLE           1     16,873         --       --
GUARANTY BANCORP         EQUITY 40075T102        172      47,700 SH       SOLE           1     47,700         --       --
GUARANTY FINANCIAL
   GROUP INC             EQUITY 40108N106        181      33,737 SH       SOLE           1     33,737         --       --
GUESS INC                EQUITY 401617105      1,198      32,000 SH       SOLE           2     32,000         --       --
GUESS INC COM            EQUITY 401617105      2,820      75,300 SH       SOLE           3      23300         --    52000
GUESS? INC               EQUITY 401617105      5,385     143,788 SH       SOLE           1    143,788         --       --
GUIDANCE SOFTWARE INC    EQUITY 401692108         81       8,441 SH       SOLE           1      8,441         --       --
GULF ISLAND
   FABRICATION, INC.     EQUITY 402307102        539      11,023 SH       SOLE           1     11,023         --       --
GULFMARK OFFSHORE, INC.  EQUITY 402629109      1,090      18,737 SH       SOLE           1     18,737         --       --
GULFPORT ENERGY CORP     EQUITY 402635304        391      23,755 SH       SOLE           1     23,755         --       --
GYMBOREE CORP            EQUITY 403777105        545      13,600 SH       SOLE           2     13,600         --       --
GYMBOREE CORP COM        EQUITY 403777105        505      12,600 SH       SOLE           3      12600         --       --
GYMBOREE CORP.           EQUITY 403777105      1,995      49,785 SH       SOLE           1     49,785         --       --
H & Q HEALTHCARE FD      EQUITY 404052102          7         511 SH       DEFINED        5         --         --      511
H J HEINZ CO.            EQUITY 423074103     10,845     226,651 SH       SOLE           1    226,651         --       --
H&E EQUIPMENT SERVICES
   INC                   EQUITY 404030108        178      14,808 SH       SOLE           1     14,808         --       --
H.B. FULLER CO.          EQUITY 359694106      1,075      47,888 SH       SOLE           1     47,888         --       --
HACKETT GROUP INC/THE    EQUITY 404609109        214      37,296 SH       SOLE           1     37,296         --       --
HAEMONETICS CORP         EQUITY 405024100         17         300 SH       DEFINED        5         --         --      300
HAEMONETICS CORP COM     EQUITY 405024100        494       8,900 SH       SOLE           3       8900         --       --
HAEMONETICS CORP.        EQUITY 405024100      2,241      40,399 SH       SOLE           1     40,399         --       --
HAIN CELESTIAL GROUP INC EQUITY 405217100        862      36,706 SH       SOLE           1     36,706         --       --
HAIN CELESTIAL GROUP INC EQUITY 405217100         61       2,600 SH       DEFINED        5         --         --    2,600
HALLIBURTON CO           EQUITY 406216101      7,153     134,792 SH       SOLE           2    134,792         --       --
HALLIBURTON CO           EQUITY 406216101        606      11,412 SH       DEFINED        4         --         --   11,412
HALLIBURTON CO           EQUITY 406216AM3          8           3 PRN      DEFINED        4         --         --        3
HALLIBURTON CO           EQUITY 406216101         97       1,820 SH       DEFINED        5         --         --    1,820
HALLIBURTON CO.          EQUITY 406216101    121,811   2,295,295 SH       SOLE           1  2,295,295         --       --
HALLMARK FINANCIAL
   SERVICES              EQUITY 40624Q203         52       5,334 SH       SOLE           1      5,334         --       --
HALOZYME THERAPEUTICS
   INC                   EQUITY 40637H109        296      55,105 SH       SOLE           1     55,105         --       --
HANCOCK HOLDING CO.      EQUITY 410120109        916      23,308 SH       SOLE           1     23,308         --       --
HANCOCK JOHN INV TRUST   EQUITY 41013P749         51       3,400 SH       DEFINED        5         --         --    3,400
HANCOCK JOHN PATRIOT
   PREM II               EQUITY 41013T105          6         630 SH       DEFINED        4         --         --      630
HANCOCK JOHN PFD INCOME
   FD                    EQUITY 41013W108         57       3,000 SH       DEFINED        5         --         --    3,000
HANCOCK JOHN PFD INCOME
   FD I                  EQUITY 41013X106        814      43,479 SH       DEFINED        4         --         --   43,479
HANCOCK JOHN PFD INCOME
   FD I                  EQUITY 41021P103         13         752 SH       DEFINED        5         --         --      752
HANCOCK JOHN TAX-ADV
   DIV INC               EQUITY 41013V100          8         575 SH       DEFINED        4         --         --      575
HANESBRANDS INC          EQUITY 410345102      6,181     227,740 SH       SOLE           1    227,740         --       --





                                                                                
HANESBRANDS INC          EQUITY 410345102        573      83,900 SH       SOLE           2     83,900         --       --
HANESBRANDS INC          EQUITY 410345102          1          39 SH       DEFINED        4         --         --       39
HANGER ORTHOPEDIC GROUP  EQUITY 41043F208        343      20,795 SH       SOLE           1     20,795         --       --
HANMI FINL CORP          EQUITY 410495105        176      33,725 SH       SOLE           1     33,725         --       --
HANOVER INSURANCE GROUP
   INC/                  EQUITY 410867105      5,126     120,603 SH       SOLE           1    120,603         --       --
HANSEN MEDICAL INC       EQUITY 411307101        258      15,446 SH       SOLE           1     15,446         --       --
HANSEN MEDICAL INC       EQUITY 411307101         59       3,500 SH       DEFINED        5         --         --    3,500
HANSEN NAT CORP          EQUITY 411310105      1,628      56,500 SH       SOLE           2     56,500         --       --
HANSEN NAT CORP          EQUITY 411310105          4         150 SH       DEFINED        5         --         --      150
HANSEN NATURAL CORP      EQUITY 411310105      4,251     147,492 SH       SOLE           1    147,492         --       --
HARBIN ELECTRIC INC      EQUITY 41145W109         81       5,675 SH       SOLE           1      5,675         --       --
HARLEY DAVIDSON INC      EQUITY 412822108      6,595     181,869 SH       SOLE           2    181,869         --       --
HARLEY DAVIDSON INC      EQUITY 412822108         21         578 SH       DEFINED        4         --         --      578
HARLEY DAVIDSON INC      EQUITY 412822108        158       4,362 SH       DEFINED        5         --         --    4,362
HARLEY-DAVIDSON          EQUITY 412822108      3,629     100,078 SH       SOLE           1    100,078         --       --
HARLEYSVILLE GROUP, INC. EQUITY 412824104        400      11,823 SH       SOLE           1     11,823         --       --
HARLEYSVILLE NATIONAL
   CORP.                 EQUITY 412850109        317      28,404 SH       SOLE           1     28,404         --       --
HARMAN INTL INDS INC NEW EQUITY 413086109          3          66 SH       SOLE           2         66         --       --
HARMAN INT'L
   INDUSTRIES, INC.      EQUITY 413086109      1,022      24,695 SH       SOLE           1     24,695         --       --
HARMONIC INC             EQUITY 413160102          5         500 SH       DEFINED        4         --         --      500
HARMONIC INC             EQUITY 413160102         29       3,000 SH       DEFINED        5         --         --    3,000
HARMONIC INC.            EQUITY 413160102        811      85,262 SH       SOLE           1     85,262         --       --
HARMONY GOLD MNG LTD     EQUITY 413216300        124      10,098 SH       DEFINED        5         --         --   10,098
HARRIS & HARRIS GROUP
   INC                   EQUITY 413833104        127      21,121 SH       SOLE           1     21,121         --       --
HARRIS CORP DEL          EQUITY 413875105        361       7,150 SH       SOLE           2      7,150         --       --
HARRIS CORP.             EQUITY 413875105     15,874     314,400 SH       SOLE           1    314,400         --       --
HARRIS INTERACTIVE INC   EQUITY 414549105          2         966 SH       DEFINED        5         --         --      966
HARRIS STRATEX NETWORKS
   INC                   EQUITY 41457P106        219      23,092 SH       SOLE           1     23,092         --       --
HARRY WINSTON DIAMOND
   CORP                  EQUITY 41587B100      1,740      60,718 SH       OTHER          1         --     60,718       --
HARSCO CORP              EQUITY 415864107        979      18,000 SH       SOLE           2     18,000         --       --
HARSCO CORP              EQUITY 415864107          7         120 SH       DEFINED        5         --         --      120
HARSCO CORP.             EQUITY 415864107     10,705     196,739 SH       SOLE           1    196,739         --       --
HARTE-HANKS
   COMMUNICATIONS        EQUITY 416196103      1,518     132,546 SH       SOLE           1    132,546         --       --
HARTFORD FINANCIAL SVCS
   GR                    EQUITY 416515104        514       7,968 SH       SOLE           2      7,968         --       --
HARTFORD FINANCIAL SVCS
   GROUP                 EQUITY 416515104     22,431     347,397 SH       SOLE           1    347,397         --       --
HARTFORD FINL SVCS
   GROUP INC             EQUITY 416515104         51         786 SH       DEFINED        4         --         --      786
HARTFORD FINL SVCS
   GROUP INC             EQUITY 416515104         29         451 SH       DEFINED        5         --         --      451
HARVEST ENERGY TR        EQUITY 41752X101      1,170      48,631 SH       DEFINED        4         --         --   48,631
HARVEST ENERGY TR        EQUITY 41752X101        183       7,600 SH       DEFINED        5         --         --    7,600
HARVEST ENERGY TRUST     EQUITY 41752X101      2,312      95,631 SH       OTHER          1         --     95,631       --
HARVEST NATURAL RESOUR   EQUITY 41754V103        353      31,948 SH       SOLE           1     31,948         --       --
HASBRO INC               EQUITY 418056107          6         158 SH       SOLE           2        158         --       --
HASBRO INC               EQUITY 418056107          4         100 SH       DEFINED        5         --         --      100
HASBRO, INC.             EQUITY 418056107      2,154      60,290 SH       SOLE           1     60,290         --       --
HATTERAS FINANCIAL CORP  EQUITY 41902R103        239      10,405 SH       SOLE           1     10,405         --       --
HAVERTY FURNITURE
   COMPANIES             EQUITY 419596101        161      16,049 SH       SOLE           1     16,049         --       --
HAWAIIAN ELEC INDUSTRIES EQUITY 419870100          5         200 SH       DEFINED        5         --         --      200
HAWAIIAN ELECTRIC
   INDUSTRIES,           EQUITY 419870100      4,876     197,186 SH       SOLE           1    197,186         --       --
HAWAIIAN HOLDINGS INC    EQUITY 419879101        250      35,996 SH       SOLE           1     35,996         --       --
HAWAIIAN HOLDINGS INC
   COM                   EQUITY 419879101      1,270     182,700 SH       SOLE           3     182700         --       --
HAYES LEMMERZ
   INTERNATIONAL         EQUITY 420781304        260      91,580 SH       SOLE           1     91,580         --       --
HAYNES INTERNATIONAL INV EQUITY 420877201     10,512     182,665 SH       SOLE           1    182,665         --       --





                                                                                
HCC INS HLDGS INC        EQUITY 404132102      2,805     132,700 SH       SOLE           2    132,700         --       --
HCC INS HLDGS INC        EQUITY 404132102          1          48 SH       DEFINED        4         --         --       48
HCC INSURANCE HOLDINGS,
   INC.                  EQUITY 404132102      5,494     259,867 SH       SOLE           1    259,867         --       --
HCP INC                  EQUITY 40414L109      6,152     193,399 SH       SOLE           1    193,399         --       --
HCP INC                  EQUITY 40414L109          8         267 SH       SOLE           2        267         --       --
HCP INC                  EQUITY 40414L109         29         901 SH       DEFINED        4         --         --      901
HCP INC                  EQUITY 40414L109        109       3,431 SH       DEFINED        5         --         --    3,431
HEADWATERS INC           EQUITY 42210P102        448      38,041 SH       SOLE           1     38,041         --       --
HEADWATERS INC           EQUITY 42210P102         32       2,700 SH       DEFINED        5         --         --    2,700
HEALTH CARE REIT INC     EQUITY 42217K106         47       1,058 SH       DEFINED        5         --         --    1,058
HEALTH MANAGEMENT ASSOC. EQUITY 421933102      3,702     568,731 SH       SOLE           1    568,731         --       --
HEALTH MGMT ASSOC        EQUITY 421933102        565      86,800 SH       SOLE           2     86,800         --       --
HEALTH MGMT ASSOC INC
   NEW                   EQUITY 421933102         67      10,296 SH       DEFINED        4         --         --   10,296
HEALTH NET INC.          EQUITY 42222G108      6,051     251,496 SH       SOLE           1    251,496         --       --
HEALTHCARE RLTY TR       EQUITY 421946104        250      10,517 SH       DEFINED        4         --         --   10,517
HEALTHCARE RLTY TR       EQUITY 421946104         38       1,600 SH       DEFINED        5         --         --    1,600
HEALTHCARE SVCS GROUP
   INC                   EQUITY 421906108      1,881     123,700 SH       SOLE           2    123,700         --       --
HEALTHCARE SVCS GRP IN   EQUITY 421906108        593      38,976 SH       SOLE           1     38,976         --       --
HEALTHEXTRAS INC         EQUITY 422211102      1,444      47,899 SH       SOLE           1     47,899         --       --
HEALTHEXTRAS INC         EQUITY 422211102        573      19,000 SH       SOLE           2     19,000         --       --
HEALTHSOUTH CORP         EQUITY 421924309      1,191      71,640 SH       SOLE           1     71,640         --       --
HEALTHSOUTH CORP         EQUITY 421924309        160       9,600 SH       SOLE           2      9,600         --       --
HEALTHSPRING INC         EQUITY 42224N101        756      44,759 SH       SOLE           1     44,759         --       --
HEALTHSPRING INC         EQUITY 42224N101         21       1,227 SH       DEFINED        4         --         --    1,227
HEALTHWAYS INC           EQUITY 422245100        942      31,833 SH       SOLE           1     31,833         --       --
HEARST-ARGYLE TELEVI     EQUITY 422317107         15         756 SH       SOLE           1        756         --       --
HEARTLAND EXPRESS, INC.  EQUITY 422347104        755      50,609 SH       SOLE           1     50,609         --       --
HEARTLAND FINANCIAL USA
   INC                   EQUITY 42234Q102        216      11,862 SH       SOLE           1     11,862         --       --
HEARTLAND PAYMENT
   SYSTEMS IN            EQUITY 42235N108      2,184      92,534 SH       SOLE           1     92,534         --       --
HECKMANN CORP            EQUITY 422680108          3         300 SH       DEFINED        5         --         --      300
HECLA MNG CO             EQUITY 422704106      1,069     115,392 SH       SOLE           1    115,392         --       --
HECLA MNG CO             EQUITY 422704106         36       3,910 SH       DEFINED        5         --         --    3,910
HEICO CORP.              EQUITY 422806109        653      20,074 SH       SOLE           1     20,074         --       --
HEIDRICK & STRUGGLES
   INT'L                 EQUITY 422819102        430      15,571 SH       SOLE           1     15,571         --       --
HEINZ H J CO             EQUITY 423074103      5,601     117,058 SH       SOLE           2    117,058         --       --
HEINZ H J CO             EQUITY 423074103         14         294 SH       DEFINED        4         --         --      294
HEINZ H J CO             EQUITY 423074103         82       1,707 SH       DEFINED        5         --         --    1,707
HELIX ENERGY SOLU GRP
   COM                   EQUITY 42330P107      4,306     103,400 SH       SOLE           3      42600         --    60800
HELIX ENERGY SOLUTIONS
   GROUP                 EQUITY 42330P107        123       2,957 SH       SOLE           1      2,957         --       --
HELIX ENERGY SOLUTIONS
   GRP I                 EQUITY 42330P107          7         162 SH       DEFINED        5         --         --      162
HELMERICH & PAYNE INC    EQUITY 423452101        279       3,875 SH       DEFINED        5         --         --    3,875
HELMERICH & PAYNE INC
   COM                   EQUITY 423452101      8,657     120,200 SH       SOLE           3      58400         --    61800
HELMERICH & PAYNE, INC.  EQUITY 423452101     17,613     244,557 SH       SOLE           1    244,557         --       --
HELMERICH AND PAYNE INC  EQUITY 423452101        562       7,800 SH       SOLE           2      7,800         --       --
HENRY JACK & ASSOC INC   EQUITY 426281101         33       1,510 SH       DEFINED        5         --         --    1,510
HENRY JACK & ASSOCIATES  EQUITY 426281101      5,318     245,759 SH       SOLE           1    245,759         --       --
HENRY JACK + ASSOC INC   EQUITY 426281101      2,805     129,600 SH       SOLE           2    129,600         --       --
HENRY SCHEIN INC         EQUITY 806407102     11,125     215,719 SH       SOLE           1    215,719         --       --
HERBALIFE LTD            EQUITY G4412G101        165       4,250 SH       SOLE           2      4,250         --       --
HERBALIFE LTD            EQUITY G4412G101          4         100 SH       DEFINED        4         --         --      100
HERCULES INC             EQUITY 427056106          2         129 SH       SOLE           2        129         --       --
HERCULES OFFSHORE INC    EQUITY 427093109      1,735      45,644 SH       SOLE           1     45,644         --       --





                                                                                
HERCULES OFFSHORE INC
   COM                   EQUITY 427093109     12,509     329,000 SH       SOLE           3     149600         --   179400
HERCULES TECH GROWTH
   CAP INC               EQUITY 427096508        176      19,746 SH       DEFINED        4         --         --   19,746
HERCULES TECH GROWTH
   CAP INC               EQUITY 427096508          4         400 SH       DEFINED        5         --         --      400
HERCULES TECHNOLOGY
   GROWTH                EQUITY 427096508      2,090     234,001 SH       SOLE           2    234,001         --       --
HERCULES TECHNOLOGY
   GROWTH CAPITAL INC    EQUITY 427096508        266      29,765 SH       SOLE           1     29,765         --       --
HERCULES, INC.           EQUITY 427056106      3,889     229,704 SH       SOLE           1    229,704         --       --
HERITAGE COMMERCE CORP   EQUITY 426927109         93       9,388 SH       SOLE           1      9,388         --       --
HERITAGE CRYSTAL CLEAN
   INC                   EQUITY 42726M106      1,771     133,148 SH       SOLE           2    133,148         --       --
HERLEY INDS INC DEL      EQUITY 427398102        162      12,232 SH       SOLE           1     12,232         --       --
HERLEY INDS INC DEL      EQUITY 427398102          8         631 SH       DEFINED        4         --         --      631
HERMAN MILLER, INC.      EQUITY 600544100      4,496     180,634 SH       SOLE           1    180,634         --       --
HERSHA HOSPITALITY TRUST EQUITY 427825104        282      37,331 SH       SOLE           1     37,331         --       --
HERSHEY CO               EQUITY 427866108          8         250 SH       DEFINED        4         --         --      250
HERSHEY CO               EQUITY 427866108         16         497 SH       DEFINED        5         --         --      497
HERSHEY CO / THE         EQUITY 427866108          6         191 SH       SOLE           2        191         --       --
HERTZ GLOBAL HOLDINGS
   INC                   EQUITY 42805T105        101      10,511 SH       SOLE           1     10,511         --       --
HESS CORP                EQUITY 42809H107     27,989     221,800 SH       SOLE           1    221,800         --       --
HESS CORP                EQUITY 42809H107        520       4,119 SH       SOLE           2      4,119         --       --
HESS CORP                EQUITY 42809H107      1,240       9,826 SH       DEFINED        4         --         --    9,826
HESS CORP                EQUITY 42809H107         44         350 SH       DEFINED        5         --         --      350
HEWITT ASSOCIATES
   INC-CL A              EQUITY 42822Q100      1,178      30,731 SH       SOLE           1     30,731         --       --
HEWITT ASSOCS INC        EQUITY 42822Q100        148       3,850 SH       SOLE           2      3,850         --       --
HEWLETT PACKARD CO       EQUITY 428236103     17,629     648,048 SH       SOLE           2    648,048         --       --
HEWLETT PACKARD CO       EQUITY 428236103         78       1,764 SH       DEFINED        4         --         --    1,764
HEWLETT PACKARD CO       EQUITY 428236103        164       3,704 SH       DEFINED        5         --         --    3,704
HEWLETT PACKARD CO.      EQUITY 428236103    105,303   2,381,872 SH       SOLE           1  2,381,872         --       --
HEXCEL CORP NEW          EQUITY 428291108        247      12,800 SH       SOLE           2     12,800         --       --
HEXCEL CORP NEW          EQUITY 428291108         14         700 SH       DEFINED        4         --         --      700
HEXCEL CORP NEW          EQUITY 428291108          4         200 SH       DEFINED        5         --         --      200
HEXCEL CORP.             EQUITY 428291108      1,677      86,908 SH       SOLE           1     86,908         --       --
HHGREGG INC              EQUITY 42833L108        113      11,304 SH       SOLE           1     11,304         --       --
HIBBETT SPORTS INC.      EQUITY 428567101        544      25,757 SH       SOLE           1     25,757         --       --
HIGHWOODS PPTYS INC      EQUITY 431284108          5         150 SH       DEFINED        5         --         --      150
HIGHWOODS PROPERTIES,
   INC.                  EQUITY 431284108      5,794     184,416 SH       SOLE           1    184,416         --       --
HILAND HLDGS GP LP       EQUITY 43129M107          5         200 SH       DEFINED        4         --         --      200
HILB, ROGAL & HAMILTON
   CO.                   EQUITY 431294107      1,433      32,966 SH       SOLE           1     32,966         --       --
HILL INTERNATIONAL INC   EQUITY 431466101        349      21,214 SH       SOLE           1     21,214         --       --
HILL INTERNATIONAL INC
   COM                   EQUITY 431466101      1,345      81,800 SH       SOLE           3      81800         --       --
HILLENBRAND INC          EQUITY 431571108         31       1,437 SH       SOLE           1      1,437         --       --
HILL-ROM HOLDINGS INC    EQUITY 431475102      3,944     146,180 SH       SOLE           1    146,180         --       --
HILLTOP HOLDINGS INC     EQUITY 432748101        421      40,805 SH       SOLE           1     40,805         --       --
HITTITE MICROWAVE CORP   EQUITY 43365Y104        630      17,700 SH       SOLE           1     17,700         --       --
HLTH CORP                EQUITY 40422Y101         63       5,551 SH       SOLE           1      5,551         --       --
HLTH CORPORATION         EQUITY 40422Y101         48       4,221 SH       DEFINED        4         --         --    4,221
HMS HLDGS CORP COM       EQUITY 40425J101      2,083      97,000 SH       SOLE           3      97000         --       --
HMS HOLDINGS CORP        EQUITY 40425J101      1,583      73,739 SH       SOLE           1     73,739         --       --
HNI CORP                 EQUITY 404251100      2,526     143,058 SH       SOLE           1    143,058         --       --
HOLLY CORP.              EQUITY 435758305         54       1,455 SH       SOLE           1      1,455         --       --
HOLLYWOOD PARK, INC.     EQUITY 723456109        570      54,312 SH       SOLE           1     54,312         --       --
HOLOGIC INC              EQUITY 436440101     13,365     613,059 SH       SOLE           1    613,059         --       --
HOLOGIC INC              EQUITY 436440101     32,376   1,485,150 SH       SOLE           2  1,485,150         --       --
HOLOGIC INC              EQUITY 436440101          5         238 SH       DEFINED        4         --         --      238





                                                                                
HOLOGIC INC              EQUITY 436440101         14         650 SH       DEFINED        5         --         --      650
HOME BANCSHARES
   INC/CONWAY AR         EQUITY 436893200        250      11,117 SH       SOLE           1     11,117         --       --
HOME DEPOT INC           EQUITY 437076102        179       7,637 SH       DEFINED        4         --         --    7,637
HOME DEPOT INC           EQUITY 437076102        302      12,889 SH       DEFINED        5         --         --   12,889
HOME DEPOT, INC.         EQUITY 437076102     20,351     868,951 SH       SOLE           1    868,951         --       --
HOME INNS & HOTELS MGMT
   INC                   EQUITY 43713W107         19       1,000 SH       DEFINED        5         --         --    1,000
HOME PROPERTIES INC.     EQUITY 437306103      1,377      28,657 SH       SOLE           1     28,657         --       --
HONDA MOTOR LTD          EQUITY 438128308          1          34 SH       DEFINED        4         --         --       34
HONDA MOTOR LTD          EQUITY 438128308          4         110 SH       DEFINED        5         --         --      110
HONEYWELL INTERNATIONAL
   INC.                  EQUITY 438516106     22,190     441,324 SH       SOLE           1    441,324         --       --
HONEYWELL INTL INC       EQUITY 438516106      1,251      24,887 SH       SOLE           2     24,887         --       --
HONEYWELL INTL INC       EQUITY 438516106        165       3,279 SH       DEFINED        4         --         --    3,279
HONEYWELL INTL INC       EQUITY 438516106        170       3,378 SH       DEFINED        5         --         --    3,378
HOOKER FURNITURE CORP    EQUITY 439038100        154       8,882 SH       SOLE           1      8,882         --       --
HORACE MANN EDUCATORS
   CORP.                 EQUITY 440327104      1,834     130,801 SH       SOLE           1    130,801         --       --
HORIZON FINL CORP WASH   EQUITY 44041F105          9       1,500 SH       DEFINED        5         --         --    1,500
HORIZON LINES INC-CL A   EQUITY 44044K101        270      27,101 SH       SOLE           1     27,101         --       --
HORMEL FOODS CORP.       EQUITY 440452100      5,837     168,655 SH       SOLE           1    168,655         --       --
HORNBECK OFFSHORE
   SERVICES              EQUITY 440543106      1,186      20,995 SH       SOLE           1     20,995         --       --
HORSEHEAD HOLDING CORP   EQUITY 440694305        385      31,632 SH       SOLE           1     31,632         --       --
HOSPIRA INC              EQUITY 441060100      2,736      68,210 SH       SOLE           1     68,210         --       --
HOSPIRA INC              EQUITY 441060100          7         181 SH       SOLE           2        181         --       --
HOSPITALITY PPTYS TR     EQUITY 44106M102        121       4,950 SH       SOLE           2      4,950         --       --
HOSPITALITY PPTYS TR     EQUITY 44106M102         37       1,505 SH       DEFINED        4         --         --    1,505
HOSPITALITY PPTYS TR     EQUITY 44106M102         10         400 SH       DEFINED        5         --         --      400
HOSPITALITY PROPERTIES
   TRUST                 EQUITY 44106M102      1,161      47,452 SH       SOLE           1     47,452         --       --
HOST HOTELS & RESORTS
   INC                   EQUITY 44107P104     16,445   1,204,758 SH       SOLE           1  1,204,758         --       --
HOST HOTELS + RESORTS
   INC                   EQUITY 44107P104          8         594 SH       SOLE           2        594         --       --
HOT TOPIC INC            EQUITY 441339108        214      39,599 SH       SOLE           1     39,599         --       --
HOUSTON AMERICAN ENERGY
   CORP                  EQUITY 44183U100        152      13,506 SH       SOLE           1     13,506         --       --
HOUSTON WIRE & CABLE CO  EQUITY 44244K109        321      16,117 SH       SOLE           1     16,117         --       --
HOUSTON WIRE & CABLE CO  EQUITY 44244K109          2         100 SH       DEFINED        5         --         --      100
HOVNANIAN ENTERPRISES
   INC                   EQUITY 442487203        968     176,616 SH       SOLE           1    176,616         --       --
HOVNANIAN ENTERPRISES
   INC                   EQUITY 442487203         13       2,432 SH       DEFINED        4         --         --    2,432
HQ SUSTAINABLE MARITIM
   COM NEW               EQUITY 40426A208      2,498     188,500 SH       SOLE           3     188500         --       --
HQ SUSTAINABLE MARITIME
   INDUSTRIES INC        EQUITY 40426A208         80       6,041 SH       SOLE           1      6,041         --       --
HRPT PPTYS TR            EQUITY 40426W101          2         325 SH       DEFINED        4         --         --      325
HSBC HLDGS PLC           EQUITY 404280406         91       1,191 SH       DEFINED        4         --         --    1,191
HSBC HLDGS PLC           EQUITY 404280604         21       1,000 SH       DEFINED        5         --         --    1,000
HSBC HLDGS PLC           EQUITY 404280406         15         199 SH       DEFINED        5         --         --      199
HSBC HOLDINGS PLC        EQUITY 404280604      1,387      67,400 SH       SOLE           1     67,400         --       --
HSW INTERNATIONAL INC    EQUITY 40431N104         73      25,253 SH       SOLE           1     25,253         --       --
HUANENG PWR INTL INC     EQUITY 443304100          3          94 SH       DEFINED        4         --         --       94
HUB GROUP INC-CL A       EQUITY 443320106      1,143      33,479 SH       SOLE           1     33,479         --       --
HUBBELL INC. CLASS B     EQUITY 443510201      5,457     136,869 SH       SOLE           1    136,869         --       --
HUDSON CITY BANCORP      EQUITY 443683107      3,739     224,178 SH       SOLE           1    224,178         --       --
HUDSON CITY BANCORP INC  EQUITY 443683107         10         590 SH       SOLE           2        590         --       --
HUDSON HIGHLAND GROUP
   INC                   EQUITY 443792106        237      22,682 SH       SOLE           1     22,682         --       --
HUGHES COMMUNICATIONS
   INC                   EQUITY 444398101        319       6,501 SH       SOLE           1      6,501         --       --
HUMAN GENOME SCIENCES,
   INC.                  EQUITY 444903108        639     122,690 SH       SOLE           1    122,690         --       --
HUMANA INC               EQUITY 444859102          8         192 SH       SOLE           2        192         --       --
HUMANA INC               EQUITY 444859102          4          94 SH       DEFINED        4         --         --       94





                                                                                
HUMANA INC               EQUITY 444859102          9         220 SH       DEFINED        5         --         --      220
HUMANA, INC.             EQUITY 444859102      2,887      72,586 SH       SOLE           1     72,586         --       --
HUNGARIAN TELEPHONE &
   CABLE                 EQUITY 445542103         80       4,359 SH       SOLE           1      4,359         --       --
HUNT JB TRANS SVC INC
   COM                   EQUITY 445658107      5,478     164,600 SH       SOLE           3      65100         --    99500
HUNTINGTON BANCSHARES
   INC                   EQUITY 446150104          2         416 SH       SOLE           2        416         --       --
HUNTINGTON BANCSHARES
   INC                   EQUITY 446150104         82      14,199 SH       DEFINED        4         --         --   14,199
HUNTINGTON BANCSHARES,
   INC.                  EQUITY 446150104        932     161,610 SH       SOLE           1    161,610         --       --
HUNTSMAN CORP            EQUITY 447011107         59       5,198 SH       SOLE           1      5,198         --       --
HURCO COS INC            EQUITY 447324104        180       5,813 SH       SOLE           1      5,813         --       --
HURON CONSULTING GROUP
   INC                   EQUITY 447462102        789      17,396 SH       SOLE           1     17,396         --       --
HUTCHINSON TECHNOLOGY,
   INC.                  EQUITY 448407106        287      21,359 SH       SOLE           1     21,359         --       --
HYPERCOM CORP            EQUITY 44913M105        213      48,368 SH       SOLE           1     48,368         --       --
I2 TECHNOLOGIES INC      EQUITY 465754208        176      14,188 SH       SOLE           1     14,188         --       --
I2 TECHNOLOGIES INC      EQUITY 465754208          6         488 SH       DEFINED        5         --         --      488
IAC INTERACTIVECORP      EQUITY 44919P300          4         206 SH       SOLE           2        206         --       --
IAC INTERACTIVECORP      EQUITY 44919P300          1          55 SH       DEFINED        4         --         --       55
IAC/INTERACTIVECORP      EQUITY 44919P300      4,515     234,188 SH       SOLE           1    234,188         --       --
IAMGOLD CORPORATION      EQUITY 450913108      2,264     376,492 SH       OTHER          1         --    376,492       --
IBASIS INC               EQUITY 450732201         93      28,469 SH       SOLE           1     28,469         --       --
IBERIABANK CORP          EQUITY 450828108        519      11,662 SH       SOLE           1     11,662         --       --
ICF INTERNATIONAL INC    EQUITY 44925C103        100       6,019 SH       SOLE           1      6,019         --       --
ICICI BK LTD             EQUITY 45104G104          3         100 SH       DEFINED        4         --         --      100
ICICI BK LTD             EQUITY 45104G104         17         600 SH       DEFINED        5         --         --      600
ICO GLOBAL
   COMMUNICATIONS

   HOLDINGS LTD          EQUITY 44930K108        306      93,784 SH       SOLE           1     93,784         --       --
ICO INC                  EQUITY 449293109        151      25,092 SH       SOLE           1     25,092         --       --
ICON PUB LTD CO          EQUITY 45103T107        582       7,700 SH       SOLE           2      7,700         --       --
ICONIX BRAND GROUP INC   EQUITY 451055107        631      52,226 SH       SOLE           1     52,226         --       --
ICT GROUP INC            EQUITY 44929Y101         65       7,927 SH       SOLE           1      7,927         --       --
ICU MEDICAL, INC.        EQUITY 44930G107        229      10,004 SH       SOLE           1     10,004         --       --
ICX TECHNOLOGIES INC     EQUITY 44934T105         91      12,410 SH       SOLE           1     12,410         --       --
IDACORP INC              EQUITY 451107106          2          70 SH       DEFINED        5         --         --       70
IDACORP, INC.            EQUITY 451107106      4,206     145,579 SH       SOLE           1    145,579         --       --
IDEARC INC               EQUITY 451663108        314     133,771 SH       SOLE           1    133,771         --       --
IDENIX PHARMACEUTICALS
   INC                   EQUITY 45166R204        165      22,659 SH       SOLE           1     22,659         --       --
IDERA PHARMACEUTICALS
   INC                   EQUITY 45168K306        272      18,616 SH       SOLE           1     18,616         --       --
IDEX CORP.               EQUITY 45167R104      7,084     192,288 SH       SOLE           1    192,288         --       --
IDEXX LABORATORIES, INC. EQUITY 45168D104         68       1,388 SH       SOLE           1      1,388         --       --
IDEXX LABS INC           EQUITY 45168D104        478       9,800 SH       SOLE           2      9,800         --       --
IDT CORP-CL B            EQUITY 448947309         83      48,975 SH       SOLE           1     48,975         --       --
I-FLOW CORP              EQUITY 449520303        199      19,570 SH       SOLE           1     19,570         --       --
IGATE CORP               EQUITY 45169U105        161      19,818 SH       SOLE           1     19,818         --       --
IHS INC                  EQUITY 451734107        626       9,000 SH       SOLE           2      9,000         --       --
IHS INC-CLASS A          EQUITY 451734107         69         996 SH       SOLE           1        996         --       --
II VI INC                EQUITY 902104108          3         100 SH       DEFINED        4         --         --      100
II-VI INC                EQUITY 902104108        772      22,116 SH       SOLE           1     22,116         --       --
IKON OFFICE SOLUTIONS
   INC                   EQUITY 451713101          7         590 SH       DEFINED        4         --         --      590
IKON OFFICE SOLUTIONS
   INC.                  EQUITY 451713101        828      73,364 SH       SOLE           1     73,364         --       --
ILLINOIS TOOL WKS INC    EQUITY 452308109        608      12,802 SH       SOLE           2     12,802         --       --
ILLINOIS TOOL WKS INC    EQUITY 452308109          5         100 SH       DEFINED        4         --         --      100
ILLINOIS TOOL WKS INC    EQUITY 452308109          2          45 SH       DEFINED        5         --         --       45
ILLINOIS TOOL WORKS,
   INC.                  EQUITY 452308109      9,741     205,022 SH       SOLE           1    205,022         --       --
ILLUMINA INC             EQUITY 452327109        114       1,306 SH       SOLE           1      1,306         --       --





                                                                                
ILLUMINA INC             EQUITY 452327109        662       7,600 SH       SOLE           2      7,600         --       --
ILLUMINA INC             EQUITY 452327109         26         300 SH       DEFINED        4         --         --      300
IMATION CORP.            EQUITY 45245A107      2,277      99,352 SH       SOLE           1     99,352         --       --
IMCLONE SYS INC          EQUITY 45245W109        501      12,385 SH       SOLE           2     12,385         --       --
IMCLONE SYSTEMS          EQUITY 45245W109         66       1,638 SH       SOLE           1      1,638         --       --
IMMERSION CORP           EQUITY 452521107        188      27,667 SH       SOLE           1     27,667         --       --
IMMERSION CORP           EQUITY 452521107         40       5,900 SH       DEFINED        4         --         --    5,900
IMMERSION CORP           EQUITY 452521107          9       1,300 SH       DEFINED        5         --         --    1,300
IMMUCOR CORP             EQUITY 452526106        673      26,000 SH       SOLE           2     26,000         --       --
IMMUCOR INC              EQUITY 452526106      1,642      63,445 SH       SOLE           1     63,445         --       --
IMMUNOGEN INC            EQUITY 45253H101        119      38,871 SH       SOLE           1     38,871         --       --
IMMUNOMEDICS, INC.       EQUITY 452907108        126      59,193 SH       SOLE           1     59,193         --       --
IMPAC MTG HLDGS INC      EQUITY 45254P102          2       2,000 SH       DEFINED        5         --         --    2,000
IMPERIAL OIL LTD         EQUITY 453038408        957      17,354 SH       OTHER          1         --     17,354       --
IMPERIAL SUGAR CO        EQUITY 453096208        167      10,783 SH       SOLE           1     10,783         --       --
IMPERIAL TOBACCO GROUP
   PLC                   EQUITY 453142101         15         203 SH       DEFINED        4         --         --      203
IMPERIAL TOBACCO GROUP
   PLC                   EQUITY 453142101          1          15 SH       DEFINED        5         --         --       15
IMS HEALTH INC           EQUITY 449934108      2,824     121,206 SH       SOLE           2    121,206         --       --
IMS HEALTH, INC.         EQUITY 449934108      1,812      77,754 SH       SOLE           1     77,754         --       --
INCYTE CORP              EQUITY 45337C102        458      60,193 SH       SOLE           1     60,193         --       --
INDEPENDENCE HLDG CO N   EQUITY 453440307         57       5,876 SH       SOLE           1      5,876         --       --
INDEPENDENT BANK CORP
   MASS                  EQUITY 453836108         50       2,107 SH       DEFINED        5         --         --    2,107
INDEPENDENT BANK
   CORP.-MASSACHUSETTS   EQUITY 453836108        351      14,737 SH       SOLE           1     14,737         --       --
INDEVUS PHARMACEUTICALS
   INC                   EQUITY 454072109        110      70,215 SH       SOLE           1     70,215         --       --
INDIA FD INC             EQUITY 454089103          4         100 SH       DEFINED        4         --         --      100
INDIA FD INC             EQUITY 454089103        178       5,024 SH       DEFINED        5         --         --    5,024
INDYMAC BANCORP INC      EQUITY 456607209          9       1,453 SH       DEFINED        5         --         --    1,453
INDYMAC BANCORP, INC.    EQUITY 456607100         57      91,393 SH       SOLE           1     91,393         --       --
INFINERA CORP            EQUITY 45667G103        741      84,054 SH       SOLE           1     84,054         --       --
INFINITY PROPERTY &
   CASUALTY              EQUITY 45665Q103        610      14,680 SH       SOLE           1     14,680         --       --
INFOGROUP INC            EQUITY 45670G108        131      29,945 SH       SOLE           1     29,945         --       --
INFORMATICA CORP         EQUITY 45666Q102      1,206      80,176 SH       SOLE           1     80,176         --       --
INFOSPACE INC.           EQUITY 45678T201        260      31,154 SH       SOLE           1     31,154         --       --
INFOSYS TECHNOLOGIES LTD EQUITY 456788108         65       1,500 SH       DEFINED        5         --         --    1,500
INFOSYS TECHNOLOGIES-SP
   ADR                   EQUITY 456788108     38,078     876,159 SH       SOLE           1    876,159         --       --
ING CLARION GLB RE EST
   INCM                  EQUITY 44982G104         38       2,853 SH       DEFINED        4         --         --    2,853
ING CLARION GLB RE EST
   INCM                  EQUITY 44982G104         96       7,240 SH       DEFINED        5         --         --    7,240
ING GLBL ADV & PREM OPP
   FUND                  EQUITY 44982N109         38       2,300 SH       DEFINED        5         --         --    2,300
ING GLOBAL EQTY DIV &
   PREM O                EQUITY 4.5684E+111       76       4,775 SH       DEFINED        5         --         --    4,775
ING GROEP N V            EQUITY 456837103          4         115 SH       DEFINED        4         --         --      115
ING GROEP N V            EQUITY 456837103          4         120 SH       DEFINED        5         --         --      120
ING PRIME RATE TR        EQUITY 44977W106          9       1,500 SH       DEFINED        4         --         --    1,500
ING PRIME RATE TR        EQUITY 44977W106          9       1,602 SH       DEFINED        5         --         --    1,602
INGERSOLL RAND COMPANY
   LIM                   EQUITY G4776G101         14         361 SH       SOLE           2        361         --       --
INGERSOLL-RAND COMPANY
   LTD                   EQUITY G4776G101         28         745 SH       DEFINED        4         --         --      745
INGERSOLL-RAND COMPANY
   LTD                   EQUITY G4776G101         11         292 SH       DEFINED        5         --         --      292
INGLES MARKETS INC
   CLASS A               EQUITY 457030104        266      11,391 SH       SOLE           1     11,391         --       --
INGRAM MICRO INC. CLASS
   A                     EQUITY 457153104      5,967     336,171 SH       SOLE           1    336,171         --       --
INLAND REAL ESTATE CORP  EQUITY 457461200        690      47,820 SH       DEFINED        4         --         --   47,820
INLAND REAL ESTATE CORP  EQUITY 457461200          5         345 SH       DEFINED        5         --         --      345
INNERWORKINGS INC        EQUITY 45773Y105        342      28,634 SH       SOLE           1     28,634         --       --
INNOPHOS HOLDINGS INC    EQUITY 45774N108        302       9,460 SH       SOLE           1      9,460         --       --





                                                                                
INNOSPEC INC             EQUITY 45768S105        399      21,183 SH       SOLE           1     21,183         --       --
INSIGHT ENTERPRISES,
   INC.                  EQUITY 45765U103        498      42,465 SH       SOLE           1     42,465         --       --
INSITUFORM
   TECHNOLOGIES, INC.
   CLASS A               EQUITY 457667103        383      25,151 SH       SOLE           1     25,151         --       --
INSPIRE PHARMACEUTICALS
   INC                   EQUITY 457733103        164      38,237 SH       SOLE           1     38,237         --       --
INSPIRE PHARMACEUTICALS
   INC                   EQUITY 457733103          3         800 SH       DEFINED        5         --         --      800
INSTEEL INDUSTRIES INC   EQUITY 45774W108        290      15,828 SH       SOLE           1     15,828         --       --
INSULET CORP             EQUITY 45784P101        261      16,612 SH       SOLE           1     16,612         --       --
INSURED MUN INCOME FD    EQUITY 45809F104          3         200 SH       DEFINED        5         --         --      200
INSWEB CORP              EQUITY 45809K202         86       9,194 SH       SOLE           1      9,194         --       --
INTEGRA BANK CORP.       EQUITY 45814P105        147      18,720 SH       SOLE           1     18,720         --       --
INTEGRA LIFESCIENCES
   HOLDINGS              EQUITY 457985208        717      16,128 SH       SOLE           1     16,128         --       --
INTEGRAL SYSTEMS INC/MD  EQUITY 45810H107        297       7,673 SH       SOLE           1      7,673         --       --
INTEGRATED DEVICE
   TECHNOLO              EQUITY 458118106         92       9,250 SH       SOLE           2      9,250         --       --
INTEGRATED DEVICE
   TECHNOLOGY,           EQUITY 458118106      3,984     400,795 SH       SOLE           1    400,795         --       --
INTEGRATED ELECTRICAL
   SERVICES INC          EQUITY 4.5811E+305      121       7,010 SH       SOLE           1      7,010         --       --
INTEGRYS ENERGY GROUP
   INC                   EQUITY 45822P105      1,710      33,649 SH       SOLE           1     33,649         --       --
INTEGRYS ENERGY GROUP
   INC                   EQUITY 45822P105          4          87 SH       SOLE           2         87         --       --
INTEGRYS ENERGY GROUP
   INC                   EQUITY 45822P105         17         330 SH       DEFINED        5         --         --      330
INTEL CORP               EQUITY 458140100     16,042     746,845 SH       SOLE           2    746,845         --       --
INTEL CORP               EQUITY 458140100      1,161      54,071 SH       DEFINED        4         --         --   54,071
INTEL CORP               EQUITY 458140100      1,006      46,836 SH       DEFINED        5         --         --   46,836
INTEL CORP.              EQUITY 458140100    108,818   5,066,017 SH       SOLE           1  5,066,017         --       --
INTER PARFUMS INC        EQUITY 458334109        191      12,733 SH       SOLE           1     12,733         --       --
INTERACTIVE BROKERS
   GROUP                 EQUITY 45841N107      1,182      36,781 SH       SOLE           1     36,781         --       --
INTERACTIVE BROKERS
   GROUP                 EQUITY 45841N107        546      17,000 SH       SOLE           2     17,000         --       --
INTERACTIVE DATA CORP    EQUITY 45840J107        833      33,141 SH       SOLE           1     33,141         --       --
INTERACTIVE
   INTELLIGENCE INC      EQUITY 45839M103        146      12,581 SH       SOLE           1     12,581         --       --
INTERCONTINENTAL HTLS
   GRP PL                EQUITY 45857P301          3         191 SH       DEFINED        5         --         --      191
INTERCONTINENTALEXCHAN
   COM                   EQUITY 45865V100      3,055      26,800 SH       SOLE           3       6100         --    20700
INTERCONTINENTALEXCHANGE
   I                     EQUITY 45865V100          9          80 SH       SOLE           2         80         --       --
INTERCONTINENTALEXCHANGE
   INC                   EQUITY 45865V100      3,994      35,032 SH       SOLE           1     35,032         --       --
INTERCONTINENTALEXCHANGE
   INC                   EQUITY 45865V100         34         300 SH       DEFINED        5         --         --      300
INTERDIGITAL INC         EQUITY 45867G101        999      41,084 SH       SOLE           1     41,084         --       --
INTERDIGITAL INC         EQUITY 45867G101          9         375 SH       DEFINED        5         --         --      375
INTERFACE, INC. CLASS A  EQUITY 458665106        605      48,278 SH       SOLE           1     48,278         --       --
INTERLINE BRANDS INC     EQUITY 458743101        467      29,336 SH       SOLE           1     29,336         --       --
INTERMEC INC             EQUITY 458786100      1,175      55,760 SH       SOLE           1     55,760         --       --
INTERMUNE INC.           EQUITY 45884X103        375      28,620 SH       SOLE           1     28,620         --       --
INTERNAP NETWORK
   SERVICES CORP         EQUITY 45885A300        214      45,675 SH       SOLE           1     45,675         --       --
INTERNATIONAL ASSETS
   HOLDING CORP          EQUITY 459028106        115       3,824 SH       SOLE           1      3,824         --       --
INTERNATIONAL
   BANCSHARES COR        EQUITY 459044103        147       6,875 SH       DEFINED        5         --         --    6,875
INTERNATIONAL
   BANCSHARES CORP.      EQUITY 459044103        987      46,206 SH       SOLE           1     46,206         --       --
INTERNATIONAL BUSINESS
   MAC                   EQUITY 459200101     13,217     111,506 SH       SOLE           2    111,506         --       --
INTERNATIONAL BUSINESS
   MACHINES CORP         EQUITY 459200101    101,592     857,096 SH       SOLE           1    857,096         --       --
INTERNATIONAL BUSINESS
   MACHS                 EQUITY 459200101        867       7,312 SH       DEFINED        4         --         --    7,312
INTERNATIONAL BUSINESS
   MACHS                 EQUITY 459200101      1,301      10,974 SH       DEFINED        5         --         --   10,974
INTERNATIONAL COAL
   GROUP INC             EQUITY 45928H106      1,503     115,208 SH       SOLE           1    115,208         --       --
INTERNATIONAL GAME
   TECHNOL               EQUITY 459902102        416      16,652 SH       SOLE           2     16,652         --       --
INTERNATIONAL GAME
   TECHNOLOG             EQUITY 459902102          1          50 SH       DEFINED        4         --         --       50
INTERNATIONAL GAME
   TECHNOLOG             EQUITY 459902102         19         750 SH       DEFINED        5         --         --      750
INTERNATIONAL GAME
   TECHNOLOGY            EQUITY 459902102      3,254     130,268 SH       SOLE           1    130,268         --       --
INTERNATIONAL PAPER CO.  EQUITY 460146103     13,013     558,494 SH       SOLE           1    558,494         --       --





                                                                                
INTERNATIONAL RECTIFIER
   CORP                  EQUITY 460254105          2         100 SH       DEFINED        4         --         --      100
INTERNATIONAL RECTIFIER
   CORP                  EQUITY 460254105         42       2,198 SH       DEFINED        5         --         --    2,198
INTERNATIONAL RECTIFIER
   CORP.                 EQUITY 460254105      3,263     169,941 SH       SOLE           1    169,941         --       --
INTERNATIONAL

   SHIPHOLDING CORP      EQUITY 460321201        129       5,485 SH       SOLE           1      5,485         --       --
INTERNATIONAL SPEEDWAY
   COR                   EQUITY 460335201      3,524      90,300 SH       SOLE           2     90,300         --       --
INTERNATIONAL SPEEDWAY
   CORP                  EQUITY 460335201          8         200 SH       DEFINED        5         --         --      200
INTERNATIONAL SPEEDWAY
   CORP.                 EQUITY 460335201      2,735      70,074 SH       SOLE           1     70,074         --       --
INTERNET BRANDS INC      EQUITY 460608102        133      20,083 SH       SOLE           1     20,083         --       --
INTERNET CAPITAL GROUP,
   INC.                  EQUITY 46059C205        271      35,062 SH       SOLE           1     35,062         --       --
INTERNET INFRASTRUCTR
   HOLDS                 EQUITY 46059V104        442     112,700 SH       DEFINED        4         --         --  112,700
INTEROIL CORP            EQUITY 460951106         41       1,400 SH       DEFINED        5         --         --    1,400
INTERPUBLIC GROUP CORP   EQUITY 460690100      1,755     204,118 SH       SOLE           1    204,118         --       --
INTERPUBLIC GROUP COS
   INC                   EQUITY 460690100          5         537 SH       SOLE           2        537         --       --
INTERSIL CORP            EQUITY 46069S109        790      32,500 SH       SOLE           2     32,500         --       --
INTERSIL CORP -CL A      EQUITY 46069S109      7,050     289,874 SH       SOLE           1    289,874         --       --
INTERVOICE-BRITE INC.    EQUITY 461142101        202      35,361 SH       SOLE           1     35,361         --       --
INTERWOVEN INC           EQUITY 46114T508        495      41,252 SH       SOLE           1     41,252         --       --
INTEVAC INC              EQUITY 461148108        222      19,651 SH       SOLE           1     19,651         --       --
INTL PAPER CO            EQUITY 460146103         49       2,123 SH       DEFINED        4         --         --    2,123
INTL PAPER CO            EQUITY 460146103          3         130 SH       DEFINED        5         --         --      130
INT'L. FLAVORS &
   FRAGRANCES,           EQUITY 459506101      3,110      79,621 SH       SOLE           1     79,621         --       --
INTREPID POTASH INC      EQUITY 46121Y102         62         946 SH       SOLE           1        946         --       --
INTREPID POTASH INC      EQUITY 46121Y102        497       7,550 SH       SOLE           2      7,550         --       --
INTREPID POTASH INC      EQUITY 46121Y102         62         950 SH       DEFINED        5         --         --      950
INTRNTNL FLAVRS +
   FRAGRNCS              EQUITY 459506101          4          92 SH       SOLE           2         92         --       --
INTUIT                   EQUITY 461202103         10         365 SH       SOLE           2        365         --       --
INTUIT, INC.             EQUITY 461202103      4,326     156,894 SH       SOLE           1    156,894         --       --
INTUITIVE SURGICAL INC   EQUITY 46120E602      4,944      18,351 SH       SOLE           1     18,351         --       --
INTUITIVE SURGICAL INC   EQUITY 46120E602         12          44 SH       SOLE           2         44         --       --
INTUITIVE SURGICAL INC   EQUITY 46120E602         72         268 SH       DEFINED        4         --         --      268
INVACARE CORP.           EQUITY 461203101        594      29,058 SH       SOLE           1     29,058         --       --
INVENTIV HEALTH INC      EQUITY 4.6122E+109      832      29,934 SH       SOLE           1     29,934         --       --
INVERNESS MED
   INNOVATIONS           EQUITY 46126P106      1,678      50,600 SH       SOLE           2     50,600         --       --
INVERNESS MEDICAL
   INNOVATION            EQUITY 46126P106         72       2,174 SH       SOLE           1      2,174         --       --
INVESCO LTD              EQUITY G491BT108      7,452     310,750 SH       SOLE           2    310,750         --       --
INVESCO LTD              EQUITY G491BT108         14         592 SH       DEFINED        4         --         --      592
INVESCO LTD              EQUITY G491BT108          5         200 SH       DEFINED        5         --         --      200
INVESTMENT GRADE MUN
   INCOME                EQUITY 461368102         10         819 SH       DEFINED        4         --         --      819
INVESTMENT TECHNOLOGY
   GROU                  EQUITY 46145F105        110       3,300 SH       SOLE           2      3,300         --       --
INVESTMENT TECHNOLOGY
   GROUP                 EQUITY 46145F105         35       1,044 SH       SOLE           1      1,044         --       --
INVESTMENT TECHNOLOGY
   GRP NE                EQUITY 46145F105          6         170 SH       DEFINED        5         --         --      170
INVESTORS BANCORP INC    EQUITY 46146P102        521      39,915 SH       SOLE           1     39,915         --       --
INVITROGEN CORP          EQUITY 46185R100     11,980     305,148 SH       SOLE           1    305,148         --       --
ION GEOPHYSICAL CORP     EQUITY 462044108      1,337      76,606 SH       SOLE           1     76,606         --       --
ION MEDIA NETWORKS INC   EQUITY 46205AAB9         15      55,193 SH       SOLE           1     55,193         --       --
IOWA TELECOMM SERVICES
   INC                   EQUITY 462594201         12         700 SH       DEFINED        4         --         --      700
IOWA TELECOMM SERVICES
   INC                   EQUITY 462594201         33       1,894 SH       DEFINED        5         --         --    1,894
IOWA TELECOMMUNICATIONS
   SERV                  EQUITY 462594201        510      28,980 SH       SOLE           1     28,980         --       --
IPC HLDGS LTD            EQUITY G4933P101          9         352 SH       DEFINED        5         --         --      352
IPC THE HOSPITALIST CO
   INC                   EQUITY 44984A105         97       5,132 SH       SOLE           1      5,132         --       --
IPCS INC                 EQUITY 44980Y305     61,038   2,056,507 SH       SOLE           1  2,056,507         --       --
IPCS INC DEL             EQUITY 44980Y305      2,377      80,233 SH       SOLE           2     80,233         --       --





                                                                                
IPG PHOTONICS CORP       EQUITY 44980X109        327      17,408 SH       SOLE           1     17,408         --       --
IPG PHOTONICS CORP       EQUITY 44980X109          5         286 SH       DEFINED        5         --         --      286
IRIS INTERNATIONAL INC   EQUITY 46270W105        261      16,674 SH       SOLE           1     16,674         --       --
IROBOT CORP              EQUITY 462726100        223      16,209 SH       SOLE           1     16,209         --       --
IRON MOUNTAIN INC.       EQUITY 462846106        109       4,118 SH       SOLE           1      4,118         --       --
IRON MTN INC             EQUITY 462846106          8         300 SH       DEFINED        5         --         --      300
ISHARES COMEX GOLD TR    EQUITY 464285105         48         522 SH       DEFINED        5         --         --      522
ISHARES INC              EQUITY 464286830        659      63,328 SH       DEFINED        4         --         --   63,328
ISHARES INC              EQUITY 464286731        580      41,069 SH       DEFINED        4         --         --   41,069
ISHARES INC              EQUITY 464286400        813       9,106 SH       DEFINED        4         --         --    9,106
ISHARES INC              EQUITY 464286665        568       4,173 SH       DEFINED        4         --         --    4,173
ISHARES INC              EQUITY 464286103         57       2,160 SH       DEFINED        4         --         --    2,160
ISHARES INC              EQUITY 464286848         23       1,850 SH       DEFINED        4         --         --    1,850
ISHARES INC              EQUITY 464286756         22         842 SH       DEFINED        4         --         --      842
ISHARES INC              EQUITY 464286673         10         800 SH       DEFINED        4         --         --      800
ISHARES INC              EQUITY 464286715         27         601 SH       DEFINED        4         --         --      601
ISHARES INC              EQUITY 464286608         57         586 SH       DEFINED        4         --         --      586
ISHARES INC              EQUITY 464286871          9         550 SH       DEFINED        4         --         --      550
ISHARES INC              EQUITY 464286509         17         500 SH       DEFINED        4         --         --      500
ISHARES INC              EQUITY 464286806         12         400 SH       DEFINED        4         --         --      400
ISHARES INC              EQUITY 464286657         10         200 SH       DEFINED        4         --         --      200
ISHARES INC              EQUITY 464286749          2         100 SH       DEFINED        4         --         --      100
ISHARES INC              EQUITY 464286772          3          50 SH       DEFINED        4         --         --       50
ISHARES INC              EQUITY 464286848        145      11,606 SH       DEFINED        5         --         --   11,606
ISHARES INC              EQUITY 464286830         56       5,364 SH       DEFINED        5         --         --    5,364
ISHARES INC              EQUITY 464286400        430       4,813 SH       DEFINED        5         --         --    4,813
ISHARES INC              EQUITY 464286673         36       2,900 SH       DEFINED        5         --         --    2,900
ISHARES INC              EQUITY 464286806         82       2,774 SH       DEFINED        5         --         --    2,774
ISHARES INC              EQUITY 464286731         30       2,142 SH       DEFINED        5         --         --    2,142
ISHARES INC              EQUITY 464286103         25         960 SH       DEFINED        5         --         --      960
ISHARES INC              EQUITY 464286871         16         926 SH       DEFINED        5         --         --      926
ISHARES INC              EQUITY 464286509         29         880 SH       DEFINED        5         --         --      880
ISHARES INC              EQUITY 464286665         96         707 SH       DEFINED        5         --         --      707
ISHARES INC              EQUITY 464286772         24         465 SH       DEFINED        5         --         --      465
ISHARES INC              EQUITY 464286657         23         450 SH       DEFINED        5         --         --      450
ISHARES INC              EQUITY 464286632         14         262 SH       DEFINED        5         --         --      262
ISHARES INC              EQUITY 464286707          6         180 SH       DEFINED        5         --         --      180
ISHARES INC              EQUITY 464286301          3         155 SH       DEFINED        5         --         --      155
ISHARES INC              EQUITY 464286608          9          87 SH       DEFINED        5         --         --       87
ISHARES INC MSCI JAPAN
   INDEX FD              EQUITY 464286848     18,199   1,460,600 SH       SOLE           1  1,460,600         --       --
ISHARES MSCI AUSTRALIA
   INDEX FUND            EQUITY 464286103      4,315     163,000 SH       SOLE           1    163,000         --       --
ISHARES MSCI CANADA
   INDEX FUND            EQUITY 464286509     19,242     580,290 SH       SOLE           1    580,290         --       --
ISHARES MSCI EAFE INDEX
   FUND                  EQUITY 464287465     16,563     241,200 SH       SOLE           1    241,200         --       --
ISHARES MSCI HONG KONG
   INDEX                 EQUITY 464286871      4,511     266,300 SH       SOLE           1    266,300         --       --
ISHARES MSCI SINGAPORE
   INDEX FUND            EQUITY 464286673        570      45,900 SH       SOLE           1     45,900         --       --
ISHARES RUSSELL 2000     EQUITY 464287655      6,148      89,150 SH       SOLE           1     89,150         --       --
ISHARES S&P GLOBAL 100
   INDEX FUND            EQUITY 464287572        241       3,500 SH       SOLE           1      3,500         --       --
ISHARES S&P GSCI
   COMMODITY I           EQUITY 46428R107         30         405 SH       DEFINED        4         --         --      405
ISHARES S&P GSCI
   COMMODITY I           EQUITY 46428R107        589       7,868 SH       DEFINED        5         --         --    7,868
ISHARES SILVER TRUST     EQUITY 46428Q109        167         965 SH       DEFINED        4         --         --      965
ISHARES SILVER TRUST     EQUITY 46428Q109        224       1,300 SH       DEFINED        5         --         --    1,300
ISHARES TR               EQUITY 464287168      4,749      96,428 SH       DEFINED        4         --         --   96,428





                                                                                
ISHARES TR               EQUITY 464287598      3,256      47,159 SH       DEFINED        4         --         --   47,159
ISHARES TR               EQUITY 464287234      5,308      39,108 SH       DEFINED        4         --         --   39,108
ISHARES TR               EQUITY 464287614      2,052      37,140 SH       DEFINED        4         --         --   37,140
ISHARES TR               EQUITY 464287465      2,115      30,795 SH       DEFINED        4         --         --   30,795
ISHARES TR               EQUITY 464288885      1,979      28,026 SH       DEFINED        4         --         --   28,026
ISHARES TR               EQUITY 464287887      3,427      26,886 SH       DEFINED        4         --         --   26,886
ISHARES TR               EQUITY 464287721      1,425      26,305 SH       DEFINED        4         --         --   26,305
ISHARES TR               EQUITY 464287457      1,985      23,949 SH       DEFINED        4         --         --   23,949
ISHARES TR               EQUITY 464287515      1,094      23,182 SH       DEFINED        4         --         --   23,182
ISHARES TR               EQUITY 464287309      1,429      22,392 SH       DEFINED        4         --         --   22,392
ISHARES TR               EQUITY 464287408      1,353      21,343 SH       DEFINED        4         --         --   21,343
ISHARES TR               EQUITY 464287879      1,329      20,870 SH       DEFINED        4         --         --   20,870
ISHARES TR               EQUITY 464288711      1,317      20,327 SH       DEFINED        4         --         --   20,327
ISHARES TR               EQUITY 464287499      1,944      20,293 SH       DEFINED        4         --         --   20,293
ISHARES TR               EQUITY 464287127      1,254      17,667 SH       DEFINED        4         --         --   17,667
ISHARES TR               EQUITY 464287754      1,100      17,060 SH       DEFINED        4         --         --   17,060
ISHARES TR               EQUITY 464288851      1,383      16,045 SH       DEFINED        4         --         --   16,045
ISHARES TR               EQUITY 464287796      2,331      15,388 SH       DEFINED        4         --         --   15,388
ISHARES TR               EQUITY 464287473      1,918      14,907 SH       DEFINED        4         --         --   14,907
ISHARES TR               EQUITY 464288844      1,162      14,625 SH       DEFINED        4         --         --   14,625
ISHARES TR               EQUITY 464288828        636      14,178 SH       DEFINED        4         --         --   14,178
ISHARES TR               EQUITY 464287176      1,469      13,619 SH       DEFINED        4         --         --   13,619
ISHARES TR               EQUITY 464287697      1,347      13,589 SH       DEFINED        4         --         --   13,589
ISHARES TR               EQUITY 464287838      1,120      13,254 SH       DEFINED        4         --         --   13,254
ISHARES TR               EQUITY 464287200      1,652      12,906 SH       DEFINED        4         --         --   12,906
ISHARES TR               EQUITY 464287226      1,214      12,090 SH       DEFINED        4         --         --   12,090
ISHARES TR               EQUITY 464287655        739      10,703 SH       DEFINED        4         --         --   10,703
ISHARES TR               EQUITY 464287432        926      10,023 SH       DEFINED        4         --         --   10,023
ISHARES TR               EQUITY 464287549        518       9,905 SH       DEFINED        4         --         --    9,905
ISHARES TR               EQUITY 464287341      1,141       7,478 SH       DEFINED        4         --         --    7,478
ISHARES TR               EQUITY 464287374      1,124       7,336 SH       DEFINED        4         --         --    7,336
ISHARES TR               EQUITY 464287390      1,951       7,094 SH       DEFINED        4         --         --    7,094
ISHARES TR               EQUITY 464287556        490       6,380 SH       DEFINED        4         --         --    6,380
ISHARES TR               EQUITY 464287481        664       6,278 SH       DEFINED        4         --         --    6,278
ISHARES TR               EQUITY 464287507        501       6,142 SH       DEFINED        4         --         --    6,142
ISHARES TR               EQUITY 464288513        510       5,427 SH       DEFINED        4         --         --    5,427
ISHARES TR               EQUITY 464287606        471       5,316 SH       DEFINED        4         --         --    5,316
ISHARES TR               EQUITY 464287101        255       4,388 SH       DEFINED        4         --         --    4,388
ISHARES TR               EQUITY 464288661        436       4,084 SH       DEFINED        4         --         --    4,084
ISHARES TR               EQUITY 464287564        305       4,060 SH       DEFINED        4         --         --    4,060
ISHARES TR               EQUITY 464287804        239       3,975 SH       DEFINED        4         --         --    3,975
ISHARES TR               EQUITY 464287119        243       3,699 SH       DEFINED        4         --         --    3,699
ISHARES TR               EQUITY 464287192        282       3,193 SH       DEFINED        4         --         --    3,193
ISHARES TR               EQUITY 464288760        164       3,016 SH       DEFINED        4         --         --    3,016
ISHARES TR               EQUITY 464288307        276       2,899 SH       DEFINED        4         --         --    2,899
ISHARES TR               EQUITY 464288695        210       2,535 SH       DEFINED        4         --         --    2,535
ISHARES TR               EQUITY 464287648        171       2,240 SH       DEFINED        4         --         --    2,240
ISHARES TR               EQUITY 464287762        135       2,184 SH       DEFINED        4         --         --    2,184
ISHARES TR               EQUITY 464288414        204       2,049 SH       DEFINED        4         --         --    2,049
ISHARES TR               EQUITY 464287788        130       1,919 SH       DEFINED        4         --         --    1,919
ISHARES TR               EQUITY 464288638        155       1,564 SH       DEFINED        4         --         --    1,564
ISHARES TR               EQUITY 464287622        100       1,421 SH       DEFINED        4         --         --    1,421





                                                                                
ISHARES TR               EQUITY 464288703         80       1,256 SH       DEFINED        4         --         --    1,256
ISHARES TR               EQUITY 464287184        158       1,209 SH       DEFINED        4         --         --    1,209
ISHARES TR               EQUITY 464287572         78       1,132 SH       DEFINED        4         --         --    1,132
ISHARES TR               EQUITY 464288109         62         936 SH       DEFINED        4         --         --      936
ISHARES TR               EQUITY 464287275         51         800 SH       DEFINED        4         --         --      800
ISHARES TR               EQUITY 464288869         34         770 SH       DEFINED        4         --         --      770
ISHARES TR               EQUITY 464288877         44         723 SH       DEFINED        4         --         --      723
ISHARES TR               EQUITY 464287630         45         712 SH       DEFINED        4         --         --      712
ISHARES TR               EQUITY 464287325         36         690 SH       DEFINED        4         --         --      690
ISHARES TR               EQUITY 464288737         31         550 SH       DEFINED        4         --         --      550
ISHARES TR               EQUITY 464287812         28         515 SH       DEFINED        4         --         --      515
ISHARES TR               EQUITY 464288406         30         438 SH       DEFINED        4         --         --      438
ISHARES TR               EQUITY 464287291         23         400 SH       DEFINED        4         --         --      400
ISHARES TR               EQUITY 464288604         28         388 SH       DEFINED        4         --         --      388
ISHARES TR               EQUITY 464287671         17         376 SH       DEFINED        4         --         --      376
ISHARES TR               EQUITY 464287333         22         375 SH       DEFINED        4         --         --      375
ISHARES TR               EQUITY 464287739         21         345 SH       DEFINED        4         --         --      345
ISHARES TR               EQUITY 464287705         23         314 SH       DEFINED        4         --         --      314
ISHARES TR               EQUITY 464287689         22         300 SH       DEFINED        4         --         --      300
ISHARES TR               EQUITY 464288836         15         300 SH       DEFINED        4         --         --      300
ISHARES TR               EQUITY 464287531          9         300 SH       DEFINED        4         --         --      300
ISHARES TR               EQUITY 464288505         22         284 SH       DEFINED        4         --         --      284
ISHARES TR               EQUITY 464287770         13         190 SH       DEFINED        4         --         --      190
ISHARES TR               EQUITY 464287663         14         155 SH       DEFINED        4         --         --      155
ISHARES TR               EQUITY 464287861         14         146 SH       DEFINED        4         --         --      146
ISHARES TR               EQUITY 464287242         12         121 SH       DEFINED        4         --         --      121
ISHARES TR               EQUITY 464287440          9         102 SH       DEFINED        4         --         --      102
ISHARES TR               EQUITY 464288208          6          77 SH       DEFINED        4         --         --       77
ISHARES TR               EQUITY 464287135          5          76 SH       DEFINED        4         --         --       76
ISHARES TR               EQUITY 464288679          1          10 SH       DEFINED        4         --         --       10
ISHARES TR               EQUITY 464287465      2,424      35,300 SH       DEFINED        5         --         --   35,300
ISHARES TR               EQUITY 464287168        808      16,409 SH       DEFINED        5         --         --   16,409
ISHARES TR               EQUITY 464287804        959      15,931 SH       DEFINED        5         --         --   15,931
ISHARES TR               EQUITY 464288687        544      13,569 SH       DEFINED        5         --         --   13,569
ISHARES TR               EQUITY 464287234      1,745      12,854 SH       DEFINED        5         --         --   12,854
ISHARES TR               EQUITY 464287846        724      11,463 SH       DEFINED        5         --         --   11,463
ISHARES TR               EQUITY 464287176      1,176      10,900 SH       DEFINED        5         --         --   10,900
ISHARES TR               EQUITY 464287507        842      10,322 SH       DEFINED        5         --         --   10,322
ISHARES TR               EQUITY 464287226      1,022      10,180 SH       DEFINED        5         --         --   10,180
ISHARES TR               EQUITY 464287309        628       9,846 SH       DEFINED        5         --         --    9,846
ISHARES TR               EQUITY 464287408        578       9,122 SH       DEFINED        5         --         --    9,122
ISHARES TR               EQUITY 464287457        692       8,354 SH       DEFINED        5         --         --    8,354
ISHARES TR               EQUITY 464287606        658       7,436 SH       DEFINED        5         --         --    7,436
ISHARES TR               EQUITY 464288448        259       7,171 SH       DEFINED        5         --         --    7,171
ISHARES TR               EQUITY 464287564        479       6,373 SH       DEFINED        5         --         --    6,373
ISHARES TR               EQUITY 464287705        467       6,313 SH       DEFINED        5         --         --    6,313
ISHARES TR               EQUITY 464287242        616       6,075 SH       DEFINED        5         --         --    6,075
ISHARES TR               EQUITY 464287614        324       5,867 SH       DEFINED        5         --         --    5,867
ISHARES TR               EQUITY 464287143        432       5,454 SH       DEFINED        5         --         --    5,454
ISHARES TR               EQUITY 464287655        348       5,035 SH       DEFINED        5         --         --    5,035
ISHARES TR               EQUITY 464288372        217       4,900 SH       DEFINED        5         --         --    4,900
ISHARES TR               EQUITY 464287200        581       4,540 SH       DEFINED        5         --         --    4,540





                                                                                
ISHARES TR               EQUITY 464288877        269       4,419 SH       DEFINED        5         --         --    4,419
ISHARES TR               EQUITY 464287291        247       4,314 SH       DEFINED        5         --         --    4,314
ISHARES TR               EQUITY 464287598        290       4,201 SH       DEFINED        5         --         --    4,201
ISHARES TR               EQUITY 464287499        357       3,725 SH       DEFINED        5         --         --    3,725
ISHARES TR               EQUITY 464287440        324       3,680 SH       DEFINED        5         --         --    3,680
ISHARES TR               EQUITY 464287838        290       3,435 SH       DEFINED        5         --         --    3,435
ISHARES TR               EQUITY 464287739        198       3,250 SH       DEFINED        5         --         --    3,250
ISHARES TR               EQUITY 464287796        479       3,161 SH       DEFINED        5         --         --    3,161
ISHARES TR               EQUITY 464288679        332       3,014 SH       DEFINED        5         --         --    3,014
ISHARES TR               EQUITY 464287374        446       2,908 SH       DEFINED        5         --         --    2,908
ISHARES TR               EQUITY 464287275        178       2,801 SH       DEFINED        5         --         --    2,801
ISHARES TR               EQUITY 464287341        378       2,479 SH       DEFINED        5         --         --    2,479
ISHARES TR               EQUITY 464287630        150       2,348 SH       DEFINED        5         --         --    2,348
ISHARES TR               EQUITY 464287515        107       2,271 SH       DEFINED        5         --         --    2,271
ISHARES TR               EQUITY 464287333        135       2,270 SH       DEFINED        5         --         --    2,270
ISHARES TR               EQUITY 464287887        259       2,031 SH       DEFINED        5         --         --    2,031
ISHARES TR               EQUITY 464287788        129       1,906 SH       DEFINED        5         --         --    1,906
ISHARES TR               EQUITY 464287697        177       1,781 SH       DEFINED        5         --         --    1,781
ISHARES TR               EQUITY 464288307        160       1,683 SH       DEFINED        5         --         --    1,683
ISHARES TR               EQUITY 464287648        117       1,532 SH       DEFINED        5         --         --    1,532
ISHARES TR               EQUITY 464287481        161       1,524 SH       DEFINED        5         --         --    1,524
ISHARES TR               EQUITY 464287325         74       1,435 SH       DEFINED        5         --         --    1,435
ISHARES TR               EQUITY 464287184        170       1,296 SH       DEFINED        5         --         --    1,296
ISHARES TR               EQUITY 464288844        103       1,291 SH       DEFINED        5         --         --    1,291
ISHARES TR               EQUITY 464287473        162       1,263 SH       DEFINED        5         --         --    1,263
ISHARES TR               EQUITY 464287390        333       1,212 SH       DEFINED        5         --         --    1,212
ISHARES TR               EQUITY 464288661        128       1,198 SH       DEFINED        5         --         --    1,198
ISHARES TR               EQUITY 464288588        119       1,179 SH       DEFINED        5         --         --    1,179
ISHARES TR               EQUITY 464288596        119       1,166 SH       DEFINED        5         --         --    1,166
ISHARES TR               EQUITY 464288513        108       1,150 SH       DEFINED        5         --         --    1,150
ISHARES TR               EQUITY 464288737         62       1,109 SH       DEFINED        5         --         --    1,109
ISHARES TR               EQUITY 464287879         69       1,087 SH       DEFINED        5         --         --    1,087
ISHARES TR               EQUITY 464287812         59       1,062 SH       DEFINED        5         --         --    1,062
ISHARES TR               EQUITY 464287689         78       1,035 SH       DEFINED        5         --         --    1,035
ISHARES TR               EQUITY 464288745         46       1,012 SH       DEFINED        5         --         --    1,012
ISHARES TR               EQUITY 464288752         14       1,000 SH       DEFINED        5         --         --    1,000
ISHARES TR               EQUITY 464287150        109         946 SH       DEFINED        5         --         --      946
ISHARES TR               EQUITY 464287622         65         923 SH       DEFINED        5         --         --      923
ISHARES TR               EQUITY 464287101         49         835 SH       DEFINED        5         --         --      835
ISHARES TR               EQUITY 464288729         46         829 SH       DEFINED        5         --         --      829
ISHARES TR               EQUITY 464287762         46         746 SH       DEFINED        5         --         --      746
ISHARES TR               EQUITY 464288505         46         603 SH       DEFINED        5         --         --      603
ISHARES TR               EQUITY 464287671         27         595 SH       DEFINED        5         --         --      595
ISHARES TR               EQUITY 464287432         54         583 SH       DEFINED        5         --         --      583
ISHARES TR               EQUITY 464287119         38         578 SH       DEFINED        5         --         --      578
ISHARES TR               EQUITY 464288869         25         566 SH       DEFINED        5         --         --      566
ISHARES TR               EQUITY 464287556         36         473 SH       DEFINED        5         --         --      473
ISHARES TR               EQUITY 464288711         31         472 SH       DEFINED        5         --         --      472
ISHARES TR               EQUITY 464288760         26         472 SH       DEFINED        5         --         --      472
ISHARES TR               EQUITY 464288851         35         405 SH       DEFINED        5         --         --      405
ISHARES TR               EQUITY 464288836         19         400 SH       DEFINED        5         --         --      400
ISHARES TR               EQUITY 464288109         24         364 SH       DEFINED        5         --         --      364





                                                                                
ISHARES TR               EQUITY 464287770         22         325 SH       DEFINED        5         --         --      325
ISHARES TR               EQUITY 464287663         28         310 SH       DEFINED        5         --         --      310
ISHARES TR               EQUITY 464288604         21         293 SH       DEFINED        5         --         --      293
ISHARES TR               EQUITY 464288208         21         272 SH       DEFINED        5         --         --      272
ISHARES TR               EQUITY 464288695         22         262 SH       DEFINED        5         --         --      262
ISHARES TR               EQUITY 464288406         16         241 SH       DEFINED        5         --         --      241
ISHARES TR               EQUITY 464287549         12         238 SH       DEFINED        5         --         --      238
ISHARES TR               EQUITY 464287127         16         230 SH       DEFINED        5         --         --      230
ISHARES TR               EQUITY 464287580          9         168 SH       DEFINED        5         --         --      168
ISHARES TR               EQUITY 464288703         10         164 SH       DEFINED        5         --         --      164
ISHARES TR               EQUITY 464288414         15         150 SH       DEFINED        5         --         --      150
ISHARES TR               EQUITY 464287531          4         150 SH       DEFINED        5         --         --      150
ISHARES TR               EQUITY 464288885          8         120 SH       DEFINED        5         --         --      120
ISHARES TR               EQUITY 464287572          8         114 SH       DEFINED        5         --         --      114
ISHARES TR               EQUITY 464287721          6         110 SH       DEFINED        5         --         --      110
ISHARES TR               EQUITY 464287754          7         105 SH       DEFINED        5         --         --      105
ISHARES TR               EQUITY 464287861         10         100 SH       DEFINED        5         --         --      100
ISHARES TR               EQUITY 464287713          2         100 SH       DEFINED        5         --         --      100
ISHARES TR               EQUITY 464288828          3          70 SH       DEFINED        5         --         --       70
ISILON SYSTEMS INC       EQUITY 46432L104         99      22,300 SH       SOLE           1     22,300         --       --
ISIS PHARMACEUTICALS INC EQUITY 464330109          8         600 SH       DEFINED        4         --         --      600
ISIS PHARMACEUTICALS INC EQUITY 464330109         17       1,280 SH       DEFINED        5         --         --    1,280
ISIS PHARMACEUTICALS,
   INC.                  EQUITY 464330109      1,114      81,741 SH       SOLE           1     81,741         --       --
ISLE OF CAPRI CASINOS    EQUITY 464592104         69      14,303 SH       SOLE           1     14,303         --       --
ISTAR FINANCIAL INC      EQUITY 45031U101         59       4,453 SH       SOLE           1      4,453         --       --
ISTAR FINL INC           EQUITY 45031U101          2         150 SH       DEFINED        4         --         --      150
ISTAR FINL INC           EQUITY 45031U101         38       2,900 SH       DEFINED        5         --         --    2,900
ITC HLDGS CORP           EQUITY 465685105        526      10,300 SH       SOLE           2     10,300         --       --
ITC HOLDINGS CORP        EQUITY 465685105      2,288      44,769 SH       SOLE           1     44,769         --       --
ITRON INC                EQUITY 465741106        590       6,000 SH       SOLE           2      6,000         --       --
ITRON INC                EQUITY 465741106         11         111 SH       DEFINED        4         --         --      111
ITRON INC                EQUITY 465741106         10         100 SH       DEFINED        5         --         --      100
ITRON, INC.              EQUITY 465741106         77         786 SH       SOLE           1        786         --       --
ITT CORP NEW             EQUITY 450911102         13         207 SH       SOLE           2        207         --       --
ITT CORP NEW             EQUITY 450911102         19         300 SH       DEFINED        5         --         --      300
ITT CORPORATION          EQUITY 450911102      7,613     120,204 SH       SOLE           1    120,204         --       --
ITT EDL SVCS INC         EQUITY 45068B109        201       2,430 SH       SOLE           2      2,430         --       --
ITT EDUCATIONAL
   SERVICES, INC.        EQUITY 45068B109      6,921      83,756 SH       SOLE           1     83,756         --       --
ITT EDUCATIONAL SVCS COM EQUITY 45068B109      7,181      86,900 SH       SOLE           3      38600         --    48300
IVANHOE MINES LTD        EQUITY 46579N103         54       4,997 SH       OTHER          1         --      4,997       --
IXIA                     EQUITY 45071R109        268      38,625 SH       SOLE           1     38,625         --       --
IXYS CORP                EQUITY 46600W106          1         100 SH       DEFINED        5         --         --      100
IXYS CORP.               EQUITY 46600W106        262      21,940 SH       SOLE           1     21,940         --       --
J & J SNACK FOODS CORP   EQUITY 466032109        351      12,823 SH       SOLE           1     12,823         --       --
J CREW GROUP INC         EQUITY 46612H402      1,267      38,378 SH       SOLE           1     38,378         --       --
J.B. HUNT TRANSPORT
   SERVICES              EQUITY 445658107      6,685     200,877 SH       SOLE           1    200,877         --       --
J.C. PENNEY CO., INC.    EQUITY 708160106      5,497     151,467 SH       SOLE           1    151,467         --       --
J0-ANN STORES INC        EQUITY 47758P307        529      22,969 SH       SOLE           1     22,969         --       --
J2 GLOBAL COMMUNICATIO   EQUITY 4.6626E+209      925      40,228 SH       SOLE           1     40,228         --       --
JA SOLAR HLDGS CO LTD    EQUITY 466090107        657      39,000 SH       SOLE           2     39,000         --       --
JA SOLAR HLDGS CO LTD
   SPON ADR              EQUITY 466090107        630      37,400 SH       SOLE           3      37400         --       --
JA SOLAR HOLDINGS CO LTD EQUITY 466090107      1,171      69,500 SH       SOLE           1     69,500         --       --





                                                                                
JA SOLAR HOLDINGS CO LTD EQUITY 466090107         17       1,000 SH       DEFINED        5         --         --    1,000
JABIL CIRCUIT INC        EQUITY 466313103          4         238 SH       SOLE           2        238         --       --
JABIL CIRCUIT INC        EQUITY 466313103          3         175 SH       DEFINED        4         --         --      175
JABIL CIRCUT, INC.       EQUITY 466313103      1,498      91,279 SH       SOLE           1     91,279         --       --
JACK IN THE BOX INC      EQUITY 466367109      6,855     305,900 SH       SOLE           2    305,900         --       --
JACK IN THE BOX INC.     EQUITY 466367109      1,193      53,229 SH       SOLE           1     53,229         --       --
JACKSON HEWITT TAX
   SERVICE               EQUITY 468202106        315      25,751 SH       SOLE           1     25,751         --       --
JACOBS ENGINEERING
   GROUP, INC.           EQUITY 469814107      4,129      51,162 SH       SOLE           1     51,162         --       --
JACOBS ENGR GROUP INC    EQUITY 469814107         11         138 SH       SOLE           2        138         --       --
JACOBS ENGR GROUP INC
   DEL                   EQUITY 469814107        512       6,341 SH       DEFINED        4         --         --    6,341
JACOBS ENGR GROUP INC
   DEL                   EQUITY 469814107         18         220 SH       DEFINED        5         --         --      220
JAGUAR MNG INC COM (F)   EQUITY 47009M103      1,246     129,100 SH       SOLE           3     129100         --       --
JAKKS PACIFIC, INC.      EQUITY 4.7012E+110      542      24,811 SH       SOLE           1     24,811         --       --
JAMES RIVER COAL CO      EQUITY 470355207      1,346      22,942 SH       SOLE           1     22,942         --       --
JAMES RIVER COAL CO      EQUITY 470355207         18         300 SH       DEFINED        5         --         --      300
JANUS CAP GROUP INC      EQUITY 47102X105          4         167 SH       SOLE           2        167         --       --
JANUS CAP GROUP INC COM  EQUITY 47102X105      2,687     101,500 SH       SOLE           3      23100         --    78400
JANUS CAPITAL GROUP      EQUITY 47102X105      4,067     153,646 SH       SOLE           1    153,646         --       --
JARDEN CORP              EQUITY 471109108         41       2,252 SH       SOLE           1      2,252         --       --
JAVELIN PHARMACEUTICALS
   INC                   EQUITY 471894105        103      44,572 SH       SOLE           1     44,572         --       --
JAZZ PHARMACEUTICALS INC EQUITY 472147107         44       6,000 SH       SOLE           1      6,000         --       --
JDA SOFTWARE GROUP, INC. EQUITY 46612K108        422      23,311 SH       SOLE           1     23,311         --       --
JDS UNIPHASE CORP        EQUITY 46612J507      1,130      99,436 SH       SOLE           1     99,436         --       --
JDS UNIPHASE CORP        EQUITY 46612J507          3         261 SH       SOLE           2        261         --       --
JDS UNIPHASE CORP        EQUITY 46612J507        434      38,209 SH       DEFINED        5         --         --   38,209
JEFFERIES GROUP, INC.    EQUITY 472319102      4,691     278,869 SH       SOLE           1    278,869         --       --
JER INVESTORS TRUST INC  EQUITY 46614H301        130      20,601 SH       SOLE           1     20,601         --       --
JETBLUE AIRWAYS CORP     EQUITY 477143101      2,161     579,389 SH       SOLE           1    579,389         --       --
JETBLUE AIRWAYS CORP     EQUITY 477143101        123      32,958 SH       DEFINED        5         --         --   32,958
JINPAN INTL LTD ORD (F)  EQUITY G5138L100      1,783      48,200 SH       SOLE           3      48200         --       --
JM SMUCKER CO/THE NEW
   COM WI                EQUITY 832696405      5,297     130,342 SH       SOLE           1    130,342         --       --
JO-ANN STORES INC        EQUITY 47758P307          9         400 SH       DEFINED        5         --         --      400
JOHN HANCOCK BK &THRIFT
   OPP                   EQUITY 409735107          1         300 SH       DEFINED        5         --         --      300
JOHN WILEY & SONS, INC.
   CLASS A               EQUITY 968223206      4,720     104,827 SH       SOLE           1    104,827         --       --
JOHNSON & JOHNSON        EQUITY 478160104    114,297   1,776,454 SH       SOLE           1  1,776,454         --       --
JOHNSON & JOHNSON        EQUITY 478160104        352       5,472 SH       DEFINED        4         --         --    5,472
JOHNSON & JOHNSON        EQUITY 478160104      1,374      21,351 SH       DEFINED        5         --         --   21,351
JOHNSON + JOHNSON        EQUITY 478160104     28,961     450,125 SH       SOLE           2    450,125         --       --
JOHNSON CONTROLS, INC.   EQUITY 478366107     10,158     354,183 SH       SOLE           1    354,183         --       --
JOHNSON CTLS INC         EQUITY 478366107        934      32,575 SH       SOLE           2     32,575         --       --
JOHNSON CTLS INC         EQUITY 478366107          4         126 SH       DEFINED        4         --         --      126
JOHNSON CTLS INC         EQUITY 478366107         20         700 SH       DEFINED        5         --         --      700
JONES APPAREL GROUP INC  EQUITY 480074103          1          98 SH       SOLE           2         98         --       --
JONES APPAREL GROUP,
   INC.                  EQUITY 480074103        525      38,187 SH       SOLE           1     38,187         --       --
JONES LANG LASALLE, INC. EQUITY 48020Q107      4,493      74,655 SH       SOLE           1     74,655         --       --
JONES SODA CO            EQUITY 48023P106         11       3,500 SH       DEFINED        5         --         --    3,500
JOS A BANK CLOTHIERS INC EQUITY 480838101        441      16,472 SH       SOLE           1     16,472         --       --
JOURNAL COMMUNICATIONS
   INC-A                 EQUITY 481130102        184      38,237 SH       SOLE           1     38,237         --       --
JOY GLOBAL INC           EQUITY 481165108        104       1,370 SH       DEFINED        5         --         --    1,370
JOY GLOBAL INC.          EQUITY 481165108     19,598     258,452 SH       SOLE           1    258,452         --       --
JP MORGAN CHASE & CO     EQUITY 46625H100        213       6,222 SH       DEFINED        4         --         --    6,222
JP MORGAN CHASE & CO     EQUITY 46625H100        704      20,526 SH       DEFINED        5         --         --   20,526





                                                                                
JPMORGAN CHASE + CO      EQUITY 46625H100     21,363     622,634 SH       SOLE           2    622,634         --       --
JPMORGAN CHASE AND CO.   EQUITY 46625H100    111,251   3,242,530 SH       SOLE           1  3,242,530         --       --
JUNIPER NETWORKS INC     EQUITY 48203R104      1,252      56,452 SH       SOLE           2     56,452         --       --
JUNIPER NETWORKS INC     EQUITY 48203R104          1          49 SH       DEFINED        4         --         --       49
JUNIPER NETWORKS INC     EQUITY 48203R104        113       5,089 SH       DEFINED        5         --         --    5,089
JUNIPER NETWORKS, INC.   EQUITY 48203R104      9,265     417,698 SH       SOLE           1    417,698         --       --
K SEA TRANSN PARTNERS LP EQUITY 48268Y101         11         350 SH       DEFINED        4         --         --      350
K V PHARMACEUT [A]       EQUITY 482740206        577      29,833 SH       SOLE           1     29,833         --       --
K.FORCE INC.             EQUITY 493732101        236      27,764 SH       SOLE           1     27,764         --       --
K12 INC                  EQUITY 48273U102        122       5,681 SH       SOLE           1      5,681         --       --
KADANT INC               EQUITY 48282T104        285      12,620 SH       SOLE           1     12,620         --       --
KAISER ALUMINUM CORP     EQUITY 483007704        764      14,280 SH       SOLE           1     14,280         --       --
KAMAN CORP., CLASS A     EQUITY 483548103        523      22,963 SH       SOLE           1     22,963         --       --
KANSAS CITY LIFE
   INSURANCE CO.         EQUITY 484836101        173       4,142 SH       SOLE           1      4,142         --       --
KANSAS CITY SOUTHERN     EQUITY 485170302      7,994     181,734 SH       SOLE           1    181,734         --       --
KANSAS CITY SOUTHERN     EQUITY 485170302         35         800 SH       DEFINED        5         --         --      800
KAPSTONE PAPER AND
   PACKAGING CORP        EQUITY 48562P103        108      16,239 SH       SOLE           1     16,239         --       --
KAYDON CORP              EQUITY 486587108      6,323     123,000 SH       SOLE           2    123,000         --       --
KAYDON CORP COM          EQUITY 486587108        329       6,400 SH       SOLE           3       6400         --       --
KAYDON CORP.             EQUITY 486587108      1,926      37,471 SH       SOLE           1     37,471         --       --
KAYNE ANDERSON ENERGY
   DEVELOPMENT CO        EQUITY 48660Q102        209       9,104 SH       SOLE           1      9,104         --       --
KB HOME                  EQUITY 48666K109      2,956     174,623 SH       SOLE           1    174,623         --       --
KB HOME                  EQUITY 48666K109          1          88 SH       SOLE           2         88         --       --
KBR INC                  EQUITY 48242W106     13,846     396,632 SH       SOLE           1    396,632         --       --
KBW INC                  EQUITY 482423100        488      23,693 SH       SOLE           1     23,693         --       --
KEARNY FINANCIAL CORP    EQUITY 487169104        177      16,059 SH       SOLE           1     16,059         --       --
KELLOGG CO               EQUITY 487836108        750      15,627 SH       SOLE           2     15,627         --       --
KELLOGG CO               EQUITY 487836108         14         300 SH       DEFINED        4         --         --      300
KELLOGG CO               EQUITY 487836108        123       2,560 SH       DEFINED        5         --         --    2,560
KELLOGG CO.              EQUITY 487836108     13,281     276,565 SH       SOLE           1    276,565         --       --
KELLY SERVICES, INC.,
   CLASS A               EQUITY 488152208      1,451      75,069 SH       SOLE           1     75,069         --       --
KEMET CORP.              EQUITY 488360108        876     270,284 SH       SOLE           1    270,284         --       --
KENDLE INTERNATIONAL INC EQUITY 48880L107        427      11,762 SH       SOLE           1     11,762         --       --
KENEXA CORP              EQUITY 488879107        385      20,409 SH       SOLE           1     20,409         --       --
KENNAMETAL, INC.         EQUITY 489170100      5,858     179,981 SH       SOLE           1    179,981         --       --
KENSEY NASH CORP         EQUITY 490057106        210       6,543 SH       SOLE           1      6,543         --       --
KEY ENERGY SERVICES INC  EQUITY 492914106         77       3,940 SH       SOLE           1      3,940         --       --
KEY TECHNOLOGY INC       EQUITY 493143101        162       5,097 SH       SOLE           1      5,097         --       --
KEYCORP                  EQUITY 493267108      2,323     211,557 SH       SOLE           1    211,557         --       --
KEYCORP NEW              EQUITY 493267108        137      12,452 SH       SOLE           2     12,452         --       --
KEYCORP NEW              EQUITY 493267108          6         580 SH       DEFINED        4         --         --      580
KEYNOTE SYSTEMS INC      EQUITY 493308100        161      12,513 SH       SOLE           1     12,513         --       --
KIMBALL INTERNATIONAL,
   INC. CLASS B          EQUITY 494274103        239      28,918 SH       SOLE           1     28,918         --       --
KIMBERLY CLARK CORP      EQUITY 494368103      8,278     138,477 SH       SOLE           2    138,477         --       --
KIMBERLY CLARK CORP      EQUITY 494368103         19         317 SH       DEFINED        4         --         --      317
KIMBERLY CLARK CORP      EQUITY 494368103         86       1,445 SH       DEFINED        5         --         --    1,445
KIMBERLY-CLARK CORP.     EQUITY 494368103     49,768     832,520 SH       SOLE           1    832,520         --       --
KIMCO REALTY             EQUITY 49446R109     14,814     429,131 SH       SOLE           1    429,131         --       --
KIMCO REALTY CORP        EQUITY 49446R109         21         601 SH       DEFINED        4         --         --      601
KIMCO REALTY CORP        EQUITY 49446R109          2          48 SH       DEFINED        5         --         --       48
KIMCO RLTY CORP          EQUITY 49446R109         10         288 SH       SOLE           2        288         --       --
KINDER MORGAN ENERGY
   PARTNER               EQUITY 494550106        120       2,160 SH       DEFINED        4         --         --    2,160





                                                                                
KINDER MORGAN ENERGY
   PARTNER               EQUITY 494550106        360       6,465 SH       DEFINED        5         --         --    6,465
KINDER MORGAN
   MANAGEMENT LLC        EQUITY 49455U100         15         280 SH       DEFINED        4         --         --      280
KINDRED HEALTHCARE INC   EQUITY 494580103      2,726      94,773 SH       SOLE           1     94,773         --       --
KINETIC CONCEPTS INC     EQUITY 49460W208      9,259     232,000 SH       SOLE           2    232,000         --       --
KINETIC CONSEPTS INC     EQUITY 49460W208      5,826     145,968 SH       SOLE           1    145,968         --       --
KING PHARMACEUTICALS INC EQUITY 495582108          3         280 SH       SOLE           2        280         --       --
KING PHARMACEUTICALS INC EQUITY 495582108          3         323 SH       DEFINED        4         --         --      323
KING PHARMACEUTICALS,
   INC.                  EQUITY 495582108      1,950     186,218 SH       SOLE           1    186,218         --       --
KINROSS GOLD             EQUITY 496902404        621      26,170 SH       OTHER          1         --     26,170       --
KINROSS GOLD CORP        EQUITY 496902404      4,155     176,000 SH       SOLE           2    176,000         --       --
KINROSS GOLD CORP        EQUITY 496902404        548      23,200 SH       DEFINED        5         --         --   23,200
KIRBY CORP               EQUITY 497266106         38         802 SH       DEFINED        4         --         --      802
KIRBY CORP.              EQUITY 497266106        122       2,546 SH       SOLE           1      2,546         --       --
KLA TENCOR CORP          EQUITY 482480100        235       5,763 SH       SOLE           2      5,763         --       --
KLA-TENCOR CORP.         EQUITY 482480100      4,926     120,992 SH       SOLE           1    120,992         --       --
KNIGHT CAPITAL GROUP INC EQUITY 499005106      1,530      85,117 SH       SOLE           1     85,117         --       --
KNIGHT TRANSPORTATION
   INC                   EQUITY 499064103        949      51,854 SH       SOLE           1     51,854         --       --
KNIGHTSBRIDGE TANKERS
   LTD                   EQUITY G5299G106        138       4,285 SH       DEFINED        4         --         --    4,285
KNOLL INC                EQUITY 498904200        533      43,856 SH       SOLE           1     43,856         --       --
KNOLOGY INC              EQUITY 499183804        282      25,700 SH       SOLE           1     25,700         --       --
KNOT INC/THE             EQUITY 499184109        250      25,570 SH       SOLE           1     25,570         --       --
KOHLBERG CAPITAL CORP    EQUITY 500233101        157      15,676 SH       SOLE           1     15,676         --       --
KOHLS CORP               EQUITY 500255104      3,488      87,116 SH       SOLE           2     87,116         --       --
KOHLS CORP               EQUITY 500255104          4         100 SH       DEFINED        4         --         --      100
KOHLS CORP               EQUITY 500255104         32         790 SH       DEFINED        5         --         --      790
KOHLS CORP.              EQUITY 500255104      5,196     129,763 SH       SOLE           1    129,763         --       --
KONINKLIJKE PHILIPS
   ELECTRS               EQUITY 500472303          3         100 SH       DEFINED        4         --         --      100
KOOKMIN BK NEW           EQUITY 50049M109          2          28 SH       DEFINED        4         --         --       28
KOPIN CORP               EQUITY 500600101          1         375 SH       DEFINED        4         --         --      375
KOPIN CORP.              EQUITY 500600101        179      62,486 SH       SOLE           1     62,486         --       --
KOPPERS HOLDINGS INC     EQUITY 50060P106        790      18,872 SH       SOLE           1     18,872         --       --
KOREA ELECTRIC PWR       EQUITY 500631106          7         500 SH       DEFINED        4         --         --      500
KOREA EQUITY FD INC      EQUITY 50063B104          3         300 SH       DEFINED        4         --         --      300
KOREA FD                 EQUITY 500634100         78       3,669 SH       DEFINED        5         --         --    3,669
KORN/FERRY INTERNATIONAL EQUITY 500643200      2,349     149,322 SH       SOLE           1    149,322         --       --
KRAFT FOODS INC          EQUITY 50075N104     39,110   1,374,687 SH       SOLE           1  1,374,687         --       --
KRAFT FOODS INC          EQUITY 50075N104     20,244     933,407 SH       SOLE           2    933,407         --       --
KRAFT FOODS INC          EQUITY 50075N104         88       3,101 SH       DEFINED        4         --         --    3,101
KRAFT FOODS INC          EQUITY 50075N104        134       4,706 SH       DEFINED        5         --         --    4,706
KRATOS DEFENSE &
   SECURITY SO           EQUITY 50077B108          1         600 SH       DEFINED        5         --         --      600
KRISPY KREME DOUGHNU     EQUITY 501014104        254      50,986 SH       SOLE           1     50,986         --       --
KRISPY KREME DOUGHNUTS
   INC                   EQUITY 501014104          5         975 SH       DEFINED        4         --         --      975
KROGER CO                EQUITY 501044101          6         200 SH       DEFINED        4         --         --      200
KROGER CO                EQUITY 501044101          2          74 SH       DEFINED        5         --         --       74
KROGER CO.               EQUITY 501044101     20,910     724,269 SH       SOLE           1    724,269         --       --
K-SWISS, INC.            EQUITY 482686102        345      23,472 SH       SOLE           1     23,472         --       --
K-TRON INTERNATIONAL INC EQUITY 482730108        284       2,193 SH       SOLE           1      2,193         --       --
KULICKE & SOFFA
   INDUSTRIES            EQUITY 501242101        353      48,480 SH       SOLE           1     48,480         --       --
L 3 COMMUNICATIONS HLDG
   CO                    EQUITY 502424104      3,248      35,739 SH       SOLE           2     35,739         --       --
L-1 IDENTITY SOLUTIONS
   INC                   EQUITY 50212A106        785      58,968 SH       SOLE           1     58,968         --       --
L-1 IDENTITY SOLUTIONS
   INC                   EQUITY 50212A106         28       2,100 SH       DEFINED        5         --         --    2,100
L-3 COMMUNICATIONS
   HLDGS INC             EQUITY 502424104         13         145 SH       DEFINED        4         --         --      145





                                                                                
L-3 COMMUNICATIONS
   HLDGS INC             EQUITY 502424104         74         812 SH       DEFINED        5         --         --      812
L-3 COMMUNICATIONS
   HOLDINGS,             EQUITY 502424104      5,399      59,410 SH       SOLE           1     59,410         --       --
LABARGE INC              EQUITY 502470107        144      11,048 SH       SOLE           1     11,048         --       --
LABORATORY CORP AMER
   HLDGS                 EQUITY 50540R409          9         127 SH       SOLE           2        127         --       --
LABORATORY CORP AMER
   HLDGS                 EQUITY 50540R409         14         200 SH       DEFINED        5         --         --      200
LABORATORY CRP OF AMER
   HLDGS                 EQUITY 50540R409      3,254      46,739 SH       SOLE           1     46,739         --       --
LABRANCHE & CO. INC.     EQUITY 505447102        328      46,331 SH       SOLE           1     46,331         --       --
LACLEDE GAS CO.          EQUITY 505597104        798      19,769 SH       SOLE           1     19,769         --       --
LACLEDE GROUP INC        EQUITY 505597104          3          66 SH       DEFINED        5         --         --       66
LADENBURG THALMANN
   FINANCIAL             EQUITY 50575Q102        140      92,403 SH       SOLE           1     92,403         --       --
LADISH CO INC            EQUITY 505754200        272      13,189 SH       SOLE           1     13,189         --       --
LAKELAND BANCORP INC     EQUITY 511637100        223      18,278 SH       SOLE           1     18,278         --       --
LAKELAND FINL CORP       EQUITY 511656100        211      11,080 SH       SOLE           1     11,080         --       --
LAM RESEARCH CORP        EQUITY 512807108         10         270 SH       DEFINED        5         --         --      270
LAM RESEARCH CORP.       EQUITY 512807108     10,801     298,777 SH       SOLE           1    298,777         --       --
LAM RESH CORP            EQUITY 512807108      2,267      62,700 SH       SOLE           2     62,700         --       --
LAMAR ADVERTISING CO     EQUITY 512815101      6,672     185,172 SH       SOLE           1    185,172         --       --
LANCASTER COLONY CORP.   EQUITY 513847103      2,003      66,162 SH       SOLE           1     66,162         --       --
LANCE, INC.              EQUITY 514606102        460      24,495 SH       SOLE           1     24,495         --       --
LANDAMERICA FINANCIAL
   GROUP                 EQUITY 514936103        311      14,021 SH       SOLE           1     14,021         --       --
LANDAMERICA FINL GROUP
   INC                   EQUITY 514936103          1          53 SH       DEFINED        5         --         --       53
LANDAUER, INC.           EQUITY 51476K103        473       8,405 SH       SOLE           1      8,405         --       --
LANDEC CORP              EQUITY 514766104        136      21,014 SH       SOLE           1     21,014         --       --
LANDRY'S RESTAURANTS
   INC.                  EQUITY 51508L103        190      10,559 SH       SOLE           1     10,559         --       --
LANDSTAR SYSTEM, INC.    EQUITY 515098101         67       1,214 SH       SOLE           1      1,214         --       --
LANOPTICS LTD            EQUITY M6706C103          7         500 SH       DEFINED        4         --         --      500
LANOPTICS LTD            EQUITY M6706C103         25       1,800 SH       DEFINED        5         --         --    1,800
LAS VEGAS SANDS CORP     EQUITY 517834107         15         308 SH       DEFINED        4         --         --      308
LAS VEGAS SANDS CORP     EQUITY 517834107         57       1,210 SH       DEFINED        5         --         --    1,210
LATTICE SEMICONDUCTOR
   CORP.                 EQUITY 518415104        327     104,320 SH       SOLE           1    104,320         --       --
LAUDER ESTEE COS INC     EQUITY 518439104          6         130 SH       SOLE           2        130         --       --
LAWSON PRODUCTS, INC.    EQUITY 520776105         94       3,790 SH       SOLE           1      3,790         --       --
LAWSON SOFTWARE INC      EQUITY 52078P102        831     114,249 SH       SOLE           1    114,249         --       --
LAWSON SOFTWARE INC NEW  EQUITY 52078P102      7,008     963,900 SH       SOLE           2    963,900         --       --
LAYNE CHRISTENSEN
   COMPANY               EQUITY 521050104        761      17,371 SH       SOLE           1     17,371         --       --
LAZARD GLB TTL RET&INCM
   FD I                  EQUITY 52106W103          4         225 SH       DEFINED        4         --         --      225
LA-Z-BOY CHAIR CO.       EQUITY 505336107        356      46,578 SH       SOLE           1     46,578         --       --
LB FOSTER CO             EQUITY 350060109        332       9,995 SH       SOLE           1      9,995         --       --
LDK SOLAR CO LTD         EQUITY 50183L107          8         200 SH       DEFINED        4         --         --      200
LEAP WIRELESS INTL INC   EQUITY 521863308        246       5,690 SH       SOLE           1      5,690         --       --
LEAPFROG ENTERPRISES     EQUITY 52186N106        248      29,840 SH       SOLE           1     29,840         --       --
LEAR CORP                EQUITY 521865105      3,356     236,654 SH       SOLE           1    236,654         --       --
LEAR CORP                EQUITY 521865105        873   1,058,500 SH       SOLE           2  1,058,500         --       --
LEAR CORP                EQUITY 521865105          3         205 SH       DEFINED        4         --         --      205
LEARNING TREE
   INTERNATIONAL         EQUITY 522015106        138       8,099 SH       SOLE           1      8,099         --       --
LECG CORP                EQUITY 523234102        202      23,156 SH       SOLE           1     23,156         --       --
LEE ENTERPRISES, INC.    EQUITY 523768109        519     129,972 SH       SOLE           1    129,972         --       --
LEGACY RESERVES LP       EQUITY 524707304         10         400 SH       DEFINED        4         --         --      400
LEGG MASON INC           EQUITY 524901105          7         160 SH       SOLE           2        160         --       --
LEGG MASON, INC.         EQUITY 524901105      3,153      72,373 SH       SOLE           1     72,373         --       --
LEGGETT & PLATT, INC.    EQUITY 524660107      1,238      73,810 SH       SOLE           1     73,810         --       --
LEGGETT + PLATT INC      EQUITY 524660107          3         189 SH       SOLE           2        189         --       --





                                                                                
LEHMAN BROS HLDGS INC    EQUITY 524908100          5         249 SH       DEFINED        5         --         --      249
LEHMAN BROTHERS HLDGS
   INC                   EQUITY 524908100        291     195,602 SH       SOLE           2    195,602         --       --
LEHMAN BROTHERS
   HOLDINGS, INC.        EQUITY 524908100      7,196     363,269 SH       SOLE           1    363,269         --       --
LENNAR CORP              EQUITY 526057104          2         159 SH       SOLE           2        159         --       --
LENNAR CORP              EQUITY 526057104        126      10,200 SH       DEFINED        5         --         --   10,200
LENNAR CORP. COM CLASS A EQUITY 526057104      1,818     147,294 SH       SOLE           1    147,294         --       --
LENNOX INTERNATIONAL INC EQUITY 526107107         31       1,074 SH       SOLE           1      1,074         --       --
LEUCADIA NATIONAL CORP.  EQUITY 527288104      3,573      76,114 SH       SOLE           1     76,114         --       --
LEUCADIA NATL CORP       EQUITY 527288104          9         201 SH       SOLE           2        201         --       --
LEUCADIA NATL CORP       EQUITY 527288104        141       3,000 SH       DEFINED        4         --         --    3,000
LEUCADIA NATL CORP       EQUITY 527288104         10         207 SH       DEFINED        5         --         --      207
LEVEL 3 COMMUNICATIONS,
   INC.                  EQUITY 52729N100        347     117,688 SH       SOLE           1    117,688         --       --
LEXICON PHARMACEUTICALS
   INC                   EQUITY 528872104        116      72,742 SH       SOLE           1     72,742         --       --
LEXINGTON REALTY TRUST   EQUITY 529043101        597      43,795 SH       SOLE           1     43,795         --       --
LEXMARK INTERNATIONAL
   GROUP                 EQUITY 529771107      2,300      68,788 SH       SOLE           1     68,788         --       --
LEXMARK INTL INC         EQUITY 529771107          4         108 SH       SOLE           2        108         --       --
LHC GROUP INC            EQUITY 50187A107        308      13,260 SH       SOLE           1     13,260         --       --
LHC GROUP INC            EQUITY 50187A107        628      27,000 SH       SOLE           2     27,000         --       --
LIBBEY INC               EQUITY 529898108          4         585 SH       DEFINED        4         --         --      585
LIBBEY, INC.             EQUITY 529898108         98      13,232 SH       SOLE           1     13,232         --       --
LIBERTY ALL STAR EQUITY
   FD                    EQUITY 530158104         31       5,306 SH       DEFINED        5         --         --    5,306
LIBERTY GLOBAL INC-A     EQUITY 530555101        567      18,055 SH       SOLE           1     18,055         --       --
LIBERTY MEDIA CORP -
   ENTERTAINMENT         EQUITY 53071M500        732      30,210 SH       SOLE           1     30,210         --       --
LIBERTY MEDIA CORP NEW   EQUITY 53071M104          6         393 SH       DEFINED        4         --         --      393
LIBERTY MEDIA CORP NEW   EQUITY 53071M500          8         312 SH       DEFINED        4         --         --      312
LIBERTY MEDIA CORP NEW   EQUITY 53071M302          1          78 SH       DEFINED        4         --         --       78
LIBERTY MEDIA CORP NEW   EQUITY 530718AF2          3           3 PRN      DEFINED        4         --         --        3
LIBERTY MEDIA CORP NEW   EQUITY 53071M104          2         122 SH       DEFINED        5         --         --      122
LIBERTY MEDIA HOLDING
   CORP                  EQUITY 53071M104        726      49,158 SH       SOLE           1     49,158         --       --
LIBERTY MEDIA HOLDING
   CORP                  EQUITY 53071M302         62       4,280 SH       SOLE           1      4,280         --       --
LIBERTY PPTY TR          EQUITY 531172104          5         150 SH       DEFINED        5         --         --      150
LIBERTY PROPERTY TRUST   EQUITY 531172104      7,209     217,472 SH       SOLE           1    217,472         --       --
LIFE PARTNERS HOLDINGS
   INC                   EQUITY 53215T106        107       5,367 SH       SOLE           1      5,367         --       --
LIFE SCIENCES RESEARCH
   INC                   EQUITY 532169109        223       7,910 SH       SOLE           1      7,910         --       --
LIFE TIME FITNESS INC    EQUITY 53217R207      3,255     110,145 SH       SOLE           1    110,145         --       --
LIFEPOINT HOSPITALS HLDG EQUITY 53219L109      3,597     127,096 SH       SOLE           1    127,096         --       --
LIFEPOINT HOSPITALS INC  EQUITY 53219L109          6         227 SH       DEFINED        4         --         --      227
LIFEPOINT HOSPITALS INC  EQUITY 53219L109         10         345 SH       DEFINED        5         --         --      345
LIFEWAY FOODS INC        EQUITY 531914109         52       4,373 SH       SOLE           1      4,373         --       --
LIGAND PHARMACEUTICALS
   INC                   EQUITY 53220K207        199      76,354 SH       SOLE           1     76,354         --       --
LILLY ELI & CO           EQUITY 532457108         12         267 SH       DEFINED        4         --         --      267
LILLY ELI & CO           EQUITY 532457108        219       4,748 SH       DEFINED        5         --         --    4,748
LILLY ELI + CO           EQUITY 532457108      1,481      32,075 SH       SOLE           2     32,075         --       --
LIMELIGHT NETWORKS INC   EQUITY 53261M104        100      26,110 SH       SOLE           1     26,110         --       --
LIMITED BRANDS INC       EQUITY 532716107      9,504     564,041 SH       SOLE           2    564,041         --       --
LIMITED BRANDS INC       EQUITY 532716107          9         510 SH       DEFINED        4         --         --      510
LIMITED BRANDS INC       EQUITY 532716107         35       2,097 SH       DEFINED        5         --         --    2,097
LIMITED BRANDS, INC.     EQUITY 532716107      2,188     129,874 SH       SOLE           1    129,874         --       --
LIN TV CORP              EQUITY 532774106        144      24,224 SH       SOLE           1     24,224         --       --
LINCARE HLDGS INC        EQUITY 532791100         13         446 SH       DEFINED        5         --         --      446
LINCARE HOLDINGS, INC.   EQUITY 532791100      4,858     171,051 SH       SOLE           1    171,051         --       --
LINCOLN EDUCATIONAL
   SERVICES              EQUITY 533535100         45       3,866 SH       SOLE           1      3,866         --       --





                                                                                
LINCOLN ELEC HLDGS INC   EQUITY 533900106          1          17 SH       DEFINED        4         --         --       17
LINCOLN ELECTRIC
   HOLDINGS, INC         EQUITY 533900106      7,864      99,921 SH       SOLE           1     99,921         --       --
LINCOLN NATIONAL CORP.   EQUITY 534187109      5,941     131,091 SH       SOLE           1    131,091         --       --
LINCOLN NATL CORP IN     EQUITY 534187109        236     196,295 SH       SOLE           2    196,295         --       --
LINCOLN NATL CORP IND    EQUITY 534187109         50       1,105 SH       DEFINED        5         --         --    1,105
LINDSAY CORP             EQUITY 535555106        917      10,795 SH       SOLE           1     10,795         --       --
LINDSAY CORP             EQUITY 535555106        893      10,510 SH       DEFINED        4         --         --   10,510
LINDSAY CORP             EQUITY 535555106          2          25 SH       DEFINED        5         --         --       25
LINEAR TECHNOLOGY CORP   EQUITY 535678106      2,526      77,552 SH       SOLE           2     77,552         --       --
LINEAR TECHNOLOGY CORP.  EQUITY 535678106      4,158     127,658 SH       SOLE           1    127,658         --       --
LINN ENERGY LLC          EQUITY 536020100         25       1,000 SH       DEFINED        4         --         --    1,000
LIQUIDITY SERVICES INC   EQUITY 53635B107        153      13,248 SH       SOLE           1     13,248         --       --
LITTELFUSE, INC.         EQUITY 537008104        619      19,631 SH       SOLE           1     19,631         --       --
LIVE NATION              EQUITY 538034109        726      68,639 SH       SOLE           1     68,639         --       --
LIVE NATION INC          EQUITY 538034109          3         271 SH       DEFINED        4         --         --      271
LIZ CLAIBORNE INC        EQUITY 539320101          2         108 SH       SOLE           2        108         --       --
LIZ CLAIBORNE INC        EQUITY 539320101          1         100 SH       DEFINED        5         --         --      100
LIZ CLAIBORNE, INC.      EQUITY 539320101      2,189     154,710 SH       SOLE           1    154,710         --       --
LKQ CORP                 EQUITY 501889208         56       3,118 SH       SOLE           1      3,118         --       --
LKQ CORP                 EQUITY 501889208        389      21,500 SH       SOLE           2     21,500         --       --
LLOYDS TSB GROUP PLC     EQUITY 539439109        190       7,691 SH       DEFINED        4         --         --    7,691
LLOYDS TSB GROUP PLC     EQUITY 539439109        286      11,576 SH       DEFINED        5         --         --   11,576
LMI AEROSPACE INC        EQUITY 502079106        138       7,863 SH       SOLE           1      7,863         --       --
LMP CAP & INCOME FD INC  EQUITY 50208A102         16       1,023 SH       DEFINED        5         --         --    1,023
LOCKHEED MARTIN CORP     EQUITY 539830109     21,233     215,212 SH       SOLE           2    215,212         --       --
LOCKHEED MARTIN CORP     EQUITY 539830109          1          12 SH       DEFINED        4         --         --       12
LOCKHEED MARTIN CORP     EQUITY 539830AP4          4           3 PRN      DEFINED        4         --         --        3
LOCKHEED MARTIN CORP     EQUITY 539830109        156       1,583 SH       DEFINED        5         --         --    1,583
LOCKHEED MARTIN CORP.    EQUITY 539830109     12,703     128,754 SH       SOLE           1    128,754         --       --
LODGIAN INC              EQUITY 54021P403        116      14,815 SH       SOLE           1     14,815         --       --
LOEWS CORP               EQUITY 540424108         96       2,045 SH       SOLE           2      2,045         --       --
LOEWS CORP               EQUITY 540424108          3          67 SH       DEFINED        4         --         --       67
LOEWS CORP               EQUITY 540424108         34         720 SH       DEFINED        5         --         --      720
LOEWS CORP.              EQUITY 540424108      7,503     159,973 SH       SOLE           1    159,973         --       --
LO-JACK CORPORATION      EQUITY 539451104        572      71,900 SH       SOLE           1     71,900         --       --
LONGS DRUG STORES CORP.  EQUITY 543162101      1,187      28,190 SH       SOLE           1     28,190         --       --
LOOPNET INC              EQUITY 543524300        300      26,506 SH       SOLE           1     26,506         --       --
LORAL SPACE &
   COMMUNICATIONS LTD    EQUITY 543881106      3,617     205,250 SH       SOLE           1    205,250         --       --
LORILLARD INC            EQUITY 544147101      5,208      75,299 SH       SOLE           1     75,299         --       --
LORILLARD INC            EQUITY 544147101      4,767      68,924 SH       SOLE           2     68,924         --       --
LORILLARD INC            EQUITY 544147101         76       1,100 SH       DEFINED        5         --         --    1,100
LOUISIANA PAC CORP       EQUITY 546347105         16       1,922 SH       DEFINED        4         --         --    1,922
LOUISIANA PACIFIC CORP.  EQUITY 546347105      2,822     332,358 SH       SOLE           1    332,358         --       --
LOWE'S COMPANIES, INC.   EQUITY 548661107     18,093     871,970 SH       SOLE           1    871,970         --       --
LOWES COS INC            EQUITY 548661107         35       1,664 SH       SOLE           2      1,664         --       --
LOWES COS INC            EQUITY 548661107         12         568 SH       DEFINED        4         --         --      568
LOWES COS INC            EQUITY 548661107        181       8,706 SH       DEFINED        5         --         --    8,706
LSB INDUSTRIES INC       EQUITY 502160104        312      15,736 SH       SOLE           1     15,736         --       --
LSI CORP                 EQUITY 502161102          4         725 SH       SOLE           2        725         --       --
LSI CORP.                EQUITY 502161102      1,698     276,497 SH       SOLE           1    276,497         --       --
LSI CORPORATION          EQUITY 502161102          4         596 SH       DEFINED        4         --         --      596
LSI CORPORATION          EQUITY 502161102         40       6,559 SH       DEFINED        5         --         --    6,559





                                                                                
LSI INDUSTRIES, INC.     EQUITY 50216C108        138      17,012 SH       SOLE           1     17,012         --       --
LTC PROP INC             EQUITY 502175102      2,126      83,182 SH       SOLE           1     83,182         --       --
LTX CORP.                EQUITY 502392103        125      56,754 SH       SOLE           1     56,754         --       --
LUBRIZOL CORP.           EQUITY 549271104      7,397     159,657 SH       SOLE           1    159,657         --       --
LUBY'S, INC.             EQUITY 549282101        119      19,535 SH       SOLE           1     19,535         --       --
LUFKIN INDS INC COM      EQUITY 549764108      1,115      13,392 SH       SOLE           1     13,392         --       --
LULULEMON ATHLETICA INC  EQUITY 550021109        474      16,314 SH       SOLE           1     16,314         --       --
LUMBER LIQUIDATORS INC   EQUITY 55003Q103        111       8,504 SH       SOLE           1      8,504         --       --
LUMBER LIQUIDATORS INC   EQUITY 55003Q103          2         150 SH       DEFINED        5         --         --      150
LUMINEX CORP             EQUITY 5.5027E+106      685      33,351 SH       SOLE           1     33,351         --       --
LUNA INNOVATIONS         EQUITY 550351100          6       1,351 SH       DEFINED        4         --         --    1,351
LUNDIN MINING CORP       EQUITY 550372106        330      53,851 SH       OTHER          1         --     53,851       --
LYDALL, INC.             EQUITY 550819106        189      15,026 SH       SOLE           1     15,026         --       --
M & F WORLDWIDE CORP     EQUITY 552541104        453      11,536 SH       SOLE           1     11,536         --       --
M & T BK CORP            EQUITY 55261F104          2          24 SH       DEFINED        5         --         --       24
M + T BK CORP            EQUITY 55261F104      4,323      61,288 SH       SOLE           2     61,288         --       --
M&T BANK CORP.           EQUITY 55261F104      2,380      33,746 SH       SOLE           1     33,746         --       --
M.D.C. HOLDINGS, INC.    EQUITY 552676108      3,228      82,635 SH       SOLE           1     82,635         --       --
M/I HOMES INC            EQUITY 55305B101        200      12,698 SH       SOLE           1     12,698         --       --
MACATAWA BK CORP         EQUITY 554225102          9       1,081 SH       DEFINED        5         --         --    1,081
MACERICH CO/THE          EQUITY 554382101     10,843     174,520 SH       SOLE           1    174,520         --       --
MACK CALI RLTY CORP      EQUITY 554489104          2          50 SH       DEFINED        5         --         --       50
MACK-CALI REALTY CORP    EQUITY 554489104      5,265     154,076 SH       SOLE           1    154,076         --       --
MACQUARIE INFRASTR CO
   LLC                   EQUITY 55608B105         34       1,350 SH       DEFINED        4         --         --    1,350
MACQUARIE INFRASTR CO
   LLC                   EQUITY 55608B105          7         295 SH       DEFINED        5         --         --      295
MACROVISION SOLUTIONS
   CORP                  EQUITY 55611C108      3,993     266,891 SH       SOLE           1    266,891         --       --
MACROVISION SOLUTIONS
   CORP                  EQUITY 55611C108     24,724   1,652,662 SH       SOLE           2  1,652,662         --       --
MACYS INC                EQUITY 55616P104        146       7,512 SH       SOLE           2      7,512         --       --
MACYS INC                EQUITY 55616P104          2         102 SH       DEFINED        4         --         --      102
MACYS INC                EQUITY 55616P104          5         238 SH       DEFINED        5         --         --      238
MACY'S INC               EQUITY 55616P104      7,967     410,234 SH       SOLE           1    410,234         --       --
MADISON STRTG SECTOR
   PREM FD               EQUITY 558268108         62       4,475 SH       DEFINED        4         --         --    4,475
MADISON STRTG SECTOR
   PREM FD               EQUITY 558268108        371      26,750 SH       DEFINED        5         --         --   26,750
MAGELLAN HEALTH
   SERVICES INC          EQUITY 559079207      1,358      36,678 SH       SOLE           1     36,678         --       --
MAGELLAN MIDSTREAM
   HOLDINGS              EQUITY 55907R108        900      40,000 SH       SOLE           1     40,000         --       --
MAGELLAN MIDSTREAM
   PRTNRS LP             EQUITY 559080106         28         800 SH       DEFINED        4         --         --      800
MAGMA DESIGN AUTOMATIO   EQUITY 559181102        230      37,962 SH       SOLE           1     37,962         --       --
MAGNA INTL INC A         EQUITY 559222401      1,802      30,123 SH       OTHER          1         --     30,123       --
MAGUIRE PROPERTIES INC   EQUITY 559775101        422      34,641 SH       SOLE           1     34,641         --       --
MAIDENFORM BRANDS INC    EQUITY 560305104        275      20,340 SH       SOLE           1     20,340         --       --
MAINSOURCE FINANCIAL G   EQUITY 56062Y102        261      16,822 SH       SOLE           1     16,822         --       --
MANHATTAN ASSOCIATES,
   INC.                  EQUITY 562750109        530      22,322 SH       SOLE           1     22,322         --       --
MANITOWOC CO., INC.      EQUITY 563571108      2,500      76,847 SH       SOLE           1     76,847         --       --
MANITOWOC INC            EQUITY 563571108      3,124      96,048 SH       SOLE           2     96,048         --       --
MANITOWOC INC            EQUITY 563571108         38       1,165 SH       DEFINED        4         --         --    1,165
MANITOWOC INC            EQUITY 563571108         87       2,682 SH       DEFINED        5         --         --    2,682
MANNATECH INC            EQUITY 563771104         78      14,262 SH       SOLE           1     14,262         --       --
MANNKIND CORP            EQUITY 56400P201        140      46,675 SH       SOLE           1     46,675         --       --
MANPOWER INC             EQUITY 56418H100         11         186 SH       DEFINED        5         --         --      186
MANPOWER, INC.           EQUITY 56418H100     10,831     185,969 SH       SOLE           1    185,969         --       --
MANTECH INTL CORP        EQUITY 564563104        895      18,593 SH       SOLE           1     18,593         --       --
MANTECH INTL CORP        EQUITY 564563104        780      16,200 SH       SOLE           2     16,200         --       --





                                                                                
MANULIFE FINANCIAL CORP  EQUITY 56501R106     13,249     379,361 SH       OTHER          1         --    379,361       --
MANULIFE FINL CORP       EQUITY 56501R106         11         330 SH       DEFINED        4         --         --      330
MANULIFE FINL CORP       EQUITY 56501R106         48       1,378 SH       DEFINED        5         --         --    1,378
MAP PHARMACEUTICALS INC  EQUITY 56509R108         73       7,077 SH       SOLE           1      7,077         --       --
MARATHON OIL CORP        EQUITY 565849106     19,743     380,618 SH       SOLE           1    380,618         --       --
MARATHON OIL CORP        EQUITY 565849106      9,084     175,125 SH       SOLE           2    175,125         --       --
MARATHON OIL CORP        EQUITY 565849106          9         164 SH       DEFINED        4         --         --      164
MARATHON OIL CORP        EQUITY 565849106        120       2,314 SH       DEFINED        5         --         --    2,314
MARCHEX INC-CLASS B      EQUITY 56624R108        265      21,539 SH       SOLE           1     21,539         --       --
MARCUS CORP              EQUITY 566330106        274      18,339 SH       SOLE           1     18,339         --       --
MARINE PRODUCTS CORP     EQUITY 568427108         60       9,076 SH       SOLE           1      9,076         --       --
MARINEMAX INC            EQUITY 567908108        106      14,810 SH       SOLE           1     14,810         --       --
MARINER ENERGY INC       EQUITY 56845T305         84       2,260 SH       SOLE           1      2,260         --       --
MARKEL CORP              EQUITY 570535104        121         329 SH       SOLE           1        329         --       --
MARKEL CORP              EQUITY 570535104        100         272 SH       DEFINED        5         --         --      272
MARKET VECTORS ETF TR    EQUITY 57060U605        505       8,148 SH       DEFINED        4         --         --    8,148
MARKET VECTORS ETF TR    EQUITY 57060U837        409       7,051 SH       DEFINED        4         --         --    7,051
MARKET VECTORS ETF TR    EQUITY 57060U308         82         774 SH       DEFINED        4         --         --      774
MARKET VECTORS ETF TR    EQUITY 57060U100         35         726 SH       DEFINED        4         --         --      726
MARKET VECTORS ETF TR    EQUITY 57060U506         32         594 SH       DEFINED        4         --         --      594
MARKET VECTORS ETF TR    EQUITY 57060U704         14         397 SH       DEFINED        4         --         --      397
MARKET VECTORS ETF TR    EQUITY 57060U209         18         350 SH       DEFINED        4         --         --      350
MARKET VECTORS ETF TR    EQUITY 57060U308      3,564      33,622 SH       DEFINED        5         --         --   33,622
MARKET VECTORS ETF TR    EQUITY 57060U100        664      13,670 SH       DEFINED        5         --         --   13,670
MARKET VECTORS ETF TR    EQUITY 57060U605        116       1,875 SH       DEFINED        5         --         --    1,875
MARKET VECTORS ETF TR    EQUITY 57060U407         92       1,800 SH       DEFINED        5         --         --    1,800
MARKET VECTORS ETF TR    EQUITY 57060U506         48         900 SH       DEFINED        5         --         --      900
MARKET VECTORS ETF TR    EQUITY 57060U837         33         570 SH       DEFINED        5         --         --      570
MARKET VECTORS ETF TR
   CALL                  EQUITY 57060U900          6          11     CALL DEFINED        5         --         --       11
MARKETAXESS HOLDINGS INC EQUITY 57060D108        212      28,070 SH       SOLE           1     28,070         --       --
MARKWEST ENERGY
   PARTNERS L P          EQUITY 570759100         19         541 SH       DEFINED        4         --         --      541
MARRIOTT INTERNATIONAL,
   INC.                  EQUITY 571903202      3,344     127,435 SH       SOLE           1    127,435         --       --
MARRIOTT INTL INC NEW    EQUITY 571903202          9         342 SH       SOLE           2        342         --       --
MARRIOTT INTL INC NEW    EQUITY 571903202         47       1,809 SH       DEFINED        5         --         --    1,809
MARSH & MCLENNAN
   COMPANIES INC         EQUITY 571748102      6,516     245,414 SH       SOLE           1    245,414         --       --
MARSH & MCLENNAN COS INC EQUITY 571748102        133       5,012 SH       DEFINED        5         --         --    5,012
MARSH + MCLENNAN COS INC EQUITY 571748102         15         582 SH       SOLE           2        582         --       --
MARSHALL & ILSLEY CORP   EQUITY 571837103      1,755     114,495 SH       SOLE           1    114,495         --       --
MARSHALL & ILSLEY CORP
   NEW                   EQUITY 571837103         21       1,350 SH       DEFINED        5         --         --    1,350
MARSHALL + ILSLEY CORP
   NEW                   EQUITY 571837103        113       7,380 SH       SOLE           2      7,380         --       --
MARSHALL EDWARDS INC     EQUITY 572322303         45      17,527 SH       SOLE           1     17,527         --       --
MARTEK BIOSCIENCES CORP. EQUITY 572901106      1,004      29,771 SH       SOLE           1     29,771         --       --
MARTEN TRANSPORT LTD     EQUITY 573075108        221      13,841 SH       SOLE           1     13,841         --       --
MARTHA STEWART LIVING
   OMNIME                EQUITY 573083102          1         200 SH       DEFINED        4         --         --      200
MARTHA STEWART
   LIVING-CL A           EQUITY 573083102        170      22,915 SH       SOLE           1     22,915         --       --
MARTIN MARIETTA
   MATERIALS             EQUITY 573284106      9,995      96,482 SH       SOLE           1     96,482         --       --
MARVEL ENTERTAINMENT INC EQUITY 57383T103      5,056     157,320 SH       SOLE           1    157,320         --       --
MARVEL ENTMT INC         EQUITY 57383T103      2,686      83,577 SH       SOLE           2     83,577         --       --
MARVELL TECH GROUP LTD
   ORD                   EQUITY G5876H105      7,493     424,300 SH       SOLE           3     195100         --   229200
MARVELL TECHNOLOGY
   GROUP L               EQUITY G5876H105      1,060      60,000 SH       SOLE           2     60,000         --       --
MARVELL TECHNOLOGY
   GROUP LTD             EQUITY G5876H105          3         175 SH       DEFINED        4         --         --      175
MARVELL TECHNOLOGY
   GROUP LTD             EQUITY G5876H105         24       1,336 SH       DEFINED        5         --         --    1,336





                                                                                
MASCO CORP               EQUITY 574599106      3,620     230,111 SH       SOLE           2    230,111         --       --
MASCO CORP.              EQUITY 574599106      9,101     578,548 SH       SOLE           1    578,548         --       --
MASIMO CORP              EQUITY 574795100      1,433      41,729 SH       SOLE           1     41,729         --       --
MASIMO CORPORATION       EQUITY 574795100        357      10,400 SH       SOLE           2     10,400         --       --
MASSBANK CORP READ MAS   EQUITY 576152102        136       3,427 SH       SOLE           1      3,427         --       --
MASSEY ENERGY COMPANY    EQUITY 576206106      3,743      39,921 SH       SOLE           1     39,921         --       --
MASSEY ENERGY CORP       EQUITY 576206106          9          92 SH       SOLE           2         92         --       --
MASSEY ENERGY CORP       EQUITY 576206106      1,633      17,417 SH       DEFINED        4         --         --   17,417
MASSEY ENERGY CORP       EQUITY 576206106          2          25 SH       DEFINED        5         --         --       25
MASSEY ENERGY CORP COM   EQUITY 576206106      8,906      95,000 SH       SOLE           3      43700         --    51300
MASTEC, INC.             EQUITY 576323109        415      38,904 SH       SOLE           1     38,904         --       --
MASTERCARD INC           EQUITY 57636Q104        114         428 SH       DEFINED        4         --         --      428
MASTERCARD INC           EQUITY 57636Q104        519       1,954 SH       DEFINED        5         --         --    1,954
MASTERCARD INC CL A      EQUITY 57636Q104      8,390      31,600 SH       SOLE           3      13800         --    17800
MATRIX SERVICE CO        EQUITY 576853105      1,472      63,850 SH       SOLE           1     63,850         --       --
MATRIX SVC CO COM        EQUITY 576853105      2,756     119,500 SH       SOLE           3     119500         --       --
MATTEL INC               EQUITY 577081102      3,895     227,511 SH       SOLE           2    227,511         --       --
MATTEL INC               EQUITY 577081102         27       1,548 SH       DEFINED        4         --         --    1,548
MATTEL, INC.             EQUITY 577081102      2,846     166,224 SH       SOLE           1    166,224         --       --
MATTHEWS INTERNATIONAL
   CORP. CLASS A         EQUITY 577128101      4,542     100,352 SH       SOLE           1    100,352         --       --
MATTSON TECHNOLOGY INC   EQUITY 577223100      1,937     406,900 SH       SOLE           2    406,900         --       --
MATTSON TECHNOLOGY, INC. EQUITY 577223100        213      44,714 SH       SOLE           1     44,714         --       --
MAUI LAND & PINEAPPLE CO EQUITY 577345101        125       4,238 SH       SOLE           1      4,238         --       --
MAXIMUS, INC.            EQUITY 577933104        588      16,893 SH       SOLE           1     16,893         --       --
MAXWELL TECHNOLOGIES INC EQUITY 577767106          3         300 SH       DEFINED        5         --         --      300
MAXWELL TECHNOLOGIES,
   INC.                  EQUITY 577767106        175      16,524 SH       SOLE           1     16,524         --       --
MAXYGEN                  EQUITY 577776107         77      22,787 SH       SOLE           1     22,787         --       --
MB FINANCIAL INC         EQUITY 55264U108        707      31,467 SH       SOLE           1     31,467         --       --
MBIA INC                 EQUITY 55262C100          1         241 SH       SOLE           2        241         --       --
MBIA INC                 EQUITY 55262C100          4         950 SH       DEFINED        4         --         --      950
MBIA INC                 EQUITY 55262C100          7       1,500 SH       DEFINED        5         --         --    1,500
MBIA, INC                EQUITY 55262C100        414      94,265 SH       SOLE           1     94,265         --       --
MCAFEE INC               EQUITY 579064106     12,791     375,872 SH       SOLE           1    375,872         --       --
MCAFEE INC               EQUITY 579064106      5,023     147,600 SH       SOLE           2    147,600         --       --
MCAFEE INC               EQUITY 579064106         15         430 SH       DEFINED        4         --         --      430
MCCLATCHY CO             EQUITY 579489105          2         284 SH       DEFINED        5         --         --      284
MCCLATCHY COMPANY-CL     EQUITY 579489105        349      51,527 SH       SOLE           1     51,527         --       --
MCCORMICK & CO., INC.    EQUITY 579780206      1,954      54,789 SH       SOLE           1     54,789         --       --
MCCORMICK + CO INC       EQUITY 579780206          5         146 SH       SOLE           2        146         --       --
MCDERMOTT INTERNATIONAL
   INC                   EQUITY 580037109        323       5,213 SH       SOLE           1      5,213         --       --
MCDERMOTT INTL INC       EQUITY 580037109        489       7,900 SH       SOLE           2      7,900         --       --
MCDERMOTT INTL INC       EQUITY 580037109         55         882 SH       DEFINED        4         --         --      882
MCDERMOTT INTL INC       EQUITY 580037109          6         100 SH       DEFINED        5         --         --      100
MCDONALDS CORP           EQUITY 580135101      6,384     113,559 SH       SOLE           2    113,559         --       --
MCDONALDS CORP           EQUITY 580135101        289       5,145 SH       DEFINED        4         --         --    5,145
MCDONALDS CORP           EQUITY 580135101        798      14,189 SH       DEFINED        5         --         --   14,189
MCDONALD'S CORP          EQUITY 580135101     56,822   1,010,705 SH       SOLE           1  1,010,705         --       --
MCG CAPITAL CORP         EQUITY 58047P107        657     165,042 SH       SOLE           1    165,042         --       --
MCG CAPITAL CORP         EQUITY 58047P107          1         260 SH       DEFINED        4         --         --      260
MCGRATH RENTCORP         EQUITY 580589109        526      21,410 SH       SOLE           1     21,410         --       --
MCGRAW HILL COS INC      EQUITY 580645109      1,607      40,065 SH       SOLE           2     40,065         --       --
MCGRAW HILL COS INC      EQUITY 580645109          8         200 SH       DEFINED        5         --         --      200





                                                                                
MCGRAW-HILL, INC.        EQUITY 580645109      5,485     136,722 SH       SOLE           1    136,722         --       --
MCKESSON CORP            EQUITY 58155Q103         18         315 SH       SOLE           2        315         --       --
MCKESSON CORP            EQUITY 58155Q103         10         187 SH       DEFINED        5         --         --      187
MCKESSON CORP.           EQUITY 58155Q103      6,335     113,305 SH       SOLE           1    113,305         --       --
MCMORAN EXPLORATION CO   EQUITY 582411104      1,258      45,715 SH       SOLE           1     45,715         --       --
MCMORAN EXPLORATION CO   EQUITY 582411104          3         100 SH       DEFINED        5         --         --      100
MDS INC                  EQUITY 55269P302        203      12,448 SH       OTHER          1         --     12,448       --
MDU RES GROUP INC        EQUITY 552690109         86       2,465 SH       DEFINED        4         --         --    2,465
MDU RES GROUP INC        EQUITY 552690109          4         114 SH       DEFINED        5         --         --      114
MDU RESOURCES GROUP,
   INC.                  EQUITY 552690109     14,943     428,659 SH       SOLE           1    428,659         --       --
MEADOWBROOK INSURANCE
   GROUP INC             EQUITY 58319P108        178      33,537 SH       SOLE           1     33,537         --       --
MEADWESTVACO CORP        EQUITY 583334107      1,829      76,734 SH       SOLE           1     76,734         --       --
MEADWESTVACO CORP        EQUITY 583334107          5         198 SH       SOLE           2        198         --       --
MEASUREMENT SPECIALTIES
   IN                    EQUITY 583421102      2,142     121,800 SH       SOLE           2    121,800         --       --
MEASUREMENT SPECIALTIES
   INC                   EQUITY 583421102        230      13,069 SH       SOLE           1     13,069         --       --
MECHEL                   EQUITY 583840103     13,008     264,000 SH       SOLE           1    264,000         --       --
MECHEL OAO               EQUITY 583840103         54       1,082 SH       DEFINED        4         --         --    1,082
MECHEL OAO               EQUITY 583840103         29         580 SH       DEFINED        5         --         --      580
MEDALLION FINANCIAL
   CORP.                 EQUITY 583928106        127      13,453 SH       SOLE           1     13,453         --       --
MEDAREX INC              EQUITY 583916101        764     115,612 SH       SOLE           1    115,612         --       --
MEDASSETS INC            EQUITY 584045108        233      13,695 SH       SOLE           1     13,695         --       --
MEDCATH CORP             EQUITY 58404W109      4,203     196,912 SH       SOLE           1    196,912         --       --
MEDCATH CORP             EQUITY 58404W109        713      39,641 SH       SOLE           2     39,641         --       --
MEDCO HEALTH SOLUTIONS
   INC                   EQUITY 58405U102     18,219     386,005 SH       SOLE           1    386,005         --       --
MEDCO HEALTH SOLUTIONS
   INC                   EQUITY 58405U102      1,121      23,756 SH       SOLE           2     23,756         --       --
MEDCO HEALTH SOLUTIONS
   INC                   EQUITY 58405U102         35         743 SH       DEFINED        4         --         --      743
MEDCO HEALTH SOLUTIONS
   INC                   EQUITY 58405U102         67       1,428 SH       DEFINED        5         --         --    1,428
MEDIA GENERAL, INC.
   CLASS A               EQUITY 584404107        880      73,608 SH       SOLE           1     73,608         --       --
MEDIACOM COMMUNICATI     EQUITY 58446K105        190      35,649 SH       SOLE           1     35,649         --       --
MEDICAL ACTION IND INC   EQUITY 58449L100        133      12,786 SH       SOLE           1     12,786         --       --
MEDICAL PROPERTIES
   TRUST INC             EQUITY 58463J304        608      60,118 SH       SOLE           1     60,118         --       --
MEDICINES COMPANY        EQUITY 584688105        934      47,113 SH       SOLE           1     47,113         --       --
MEDICIS PHARMACEUTIC     EQUITY 584690309      3,774     181,625 SH       SOLE           1    181,625         --       --
MEDICIS PHARMACEUTICAL
   CORP                  EQUITY 584690309          3         136 SH       DEFINED        4         --         --      136
MEDIS TECHNOLOGIES LTD   EQUITY 58500P107         82      24,116 SH       SOLE           1     24,116         --       --
MEDIVATION INC           EQUITY 58501N101        273      23,089 SH       SOLE           1     23,089         --       --
MEDTRONIC INC            EQUITY 585055106      6,814     131,665 SH       SOLE           2    131,665         --       --
MEDTRONIC INC            EQUITY 585055106        137       2,639 SH       DEFINED        4         --         --    2,639
MEDTRONIC INC            EQUITY 585055106        129       2,494 SH       DEFINED        5         --         --    2,494
MEDTRONIC, INC.          EQUITY 585055106     48,894     944,805 SH       SOLE           1    944,805         --       --
MELCO PBL ENTMNT LTD     EQUITY 585464100          2         250 SH       DEFINED        4         --         --      250
MEMC ELECTR MATLS INC    EQUITY 552715104      6,574     106,829 SH       SOLE           2    106,829         --       --
MEMC ELECTR MATLS INC    EQUITY 552715104        306       4,970 SH       DEFINED        4         --         --    4,970
MEMC ELECTR MATLS INC    EQUITY 552715104         25         405 SH       DEFINED        5         --         --      405
MEMC ELECTRONIC
   MATERIALS, INC        EQUITY 552715104      5,890      95,711 SH       SOLE           1     95,711         --       --
MENS WEARHOUSE INC       EQUITY 587118100      4,141     254,200 SH       SOLE           2    254,200         --       --
MENS WEARHOUSE INC       EQUITY 587118100          2          93 SH       DEFINED        4         --         --       93
MENS WEARHOUSE, INC.     EQUITY 587118100        762      46,751 SH       SOLE           1     46,751         --       --
MENTOR CORP.             EQUITY 587188103        851      30,583 SH       SOLE           1     30,583         --       --
MENTOR GRAPHICS CORP.    EQUITY 587200106      4,617     292,219 SH       SOLE           1    292,219         --       --
MERCADOLIBRE INC         EQUITY 58733R102        796      23,077 SH       SOLE           1     23,077         --       --
MERCADOLIBRE INC         EQUITY 58733R102        524      15,200 SH       SOLE           2     15,200         --       --





                                                                                
MERCANTILE BANK CORP     EQUITY 587376104          3         480 SH       DEFINED        5         --         --      480
MERCER INTL INC-SBI      EQUITY 588056101        204      27,270 SH       SOLE           1     27,270         --       --
MERCK & CO INC           EQUITY 589331107         84       2,236 SH       DEFINED        4         --         --    2,236
MERCK & CO INC           EQUITY 589331107        137       3,644 SH       DEFINED        5         --         --    3,644
MERCK & CO., INC.        EQUITY 589331107     94,151   2,498,029 SH       SOLE           1  2,498,029         --       --
MERCK + CO INC           EQUITY 589331107     11,296     299,702 SH       SOLE           2    299,702         --       --
MERCURY COMPUTER
   SYSTEMS INC           EQUITY 589378108        155      20,606 SH       SOLE           1     20,606         --       --
MERCURY GENERAL CORP     EQUITY 589400100      3,886      83,181 SH       SOLE           1     83,181         --       --
MEREDITH CORP            EQUITY 589433101      1,975      69,800 SH       SOLE           1     69,800         --       --
MEREDITH CORP            EQUITY 589433101          1          42 SH       SOLE           2         42         --       --
MERIDIAN BIOSCIENCE INC  EQUITY 589584101        979      36,377 SH       SOLE           1     36,377         --       --
MERIDIAN BIOSCIENCE INC  EQUITY 589584101         73       2,700 SH       DEFINED        5         --         --    2,700
MERIDIAN INTERSTATE
   BANCORP INC           EQUITY 58964Q104         93       9,522 SH       SOLE           1      9,522         --       --
MERIDIAN RESOURCE CORP   EQUITY 58977Q109        207      70,266 SH       SOLE           1     70,266         --       --
MERIDIAN RESOURCE CORP   EQUITY 58977Q109          1         350 SH       DEFINED        4         --         --      350
MERIT MED SYS INC        EQUITY 589889104        368      25,002 SH       SOLE           1     25,002         --       --
MERITAGE HOMES
   CORPORATION           EQUITY 59001A102        422      27,798 SH       SOLE           1     27,798         --       --
MERRILL LYNCH & CO INC   EQUITY 590188108     32,925   1,038,320 SH       SOLE           1  1,038,320         --       --
MERRILL LYNCH & CO INC   EQUITY 590188108         32       1,024 SH       DEFINED        4         --         --    1,024
MERRILL LYNCH & CO INC   EQUITY 590188108         23         724 SH       DEFINED        5         --         --      724
MERRILL LYNCH + CO INC   EQUITY 590188108      1,579     882,820 SH       SOLE           2    882,820         --       --
MERUELO MADDUX
   PROPERTIES INC        EQUITY 590473104         85      38,789 SH       SOLE           1     38,789         --       --
MESA RTY TR              EQUITY 590660106          6          69 SH       DEFINED        4         --         --       69
METABOLIX INC            EQUITY 591018809        168      17,191 SH       SOLE           1     17,191         --       --
METABOLIX INC            EQUITY 591018809          3         300 SH       DEFINED        4         --         --      300
METALICO INC             EQUITY 591176102        384      21,908 SH       SOLE           1     21,908         --       --
METALICO INC COM         EQUITY 591176102        529      30,200 SH       SOLE           3      30200         --       --
METAVANTE TECHNOLOGIES
   INC                   EQUITY 591407101      4,734     209,267 SH       SOLE           1    209,267         --       --
METAVANTE TECHNOLOGIES
   INC                   EQUITY 591407101         10         450 SH       DEFINED        5         --         --      450
METHANEX CORP            EQUITY 59151K108        713      25,348 SH       OTHER          1         --     25,348       --
METHANEX CORP            EQUITY 59151K108         12         420 SH       DEFINED        4         --         --      420
METHODE ELECTRONICS,
   INC.                  EQUITY 591520200        360      34,417 SH       SOLE           1     34,417         --       --
METLIFE INC              EQUITY 59156R108      3,104      58,815 SH       SOLE           2     58,815         --       --
METLIFE INC              EQUITY 59156R108         11         204 SH       DEFINED        4         --         --      204
METLIFE INC              EQUITY 59156R108         99       1,877 SH       DEFINED        5         --         --    1,877
METLIFE, INC.            EQUITY 59156R108     46,668     884,371 SH       SOLE           1    884,371         --       --
MET-PRO CORP             EQUITY 590876306        182      13,623 SH       SOLE           1     13,623         --       --
METROPCS COMMUNICATIONS
   INC                   EQUITY 591708102        997      56,296 SH       SOLE           1     56,296         --       --
METTLER TOLEDO
   INTERNATIONAL         EQUITY 592688105          3          33 SH       DEFINED        5         --         --       33
METTLER TOLEDO INTL INC  EQUITY 592688105        498       5,250 SH       SOLE           2      5,250         --       --
METTLER-TOLEDO
   INTERNATIONAL         EQUITY 592688105         76         799 SH       SOLE           1        799         --       --
MFA MTG INVTS INC        EQUITY 55272X102      2,052     314,700 SH       SOLE           2    314,700         --       --
MFA MTG INVTS INC        EQUITY 55272X102          5         700 SH       DEFINED        5         --         --      700
MFS INTER INCOME TR      EQUITY 55273C107         11       1,700 SH       DEFINED        4         --         --    1,700
MFS INTER INCOME TR      EQUITY 55273C107         27       4,300 SH       DEFINED        5         --         --    4,300
MFS MULTIMARKET INCOME
   TR                    EQUITY 552737108         27       4,800 SH       DEFINED        4         --         --    4,800
MFS MUN INCOME TR        EQUITY 552738106          2         273 SH       DEFINED        4         --         --      273
MFS MUN INCOME TR        EQUITY 552738106        118      16,000 SH       DEFINED        5         --         --   16,000
MGE ENERGY INC           EQUITY 55277P104        653      20,006 SH       SOLE           1     20,006         --       --
MGIC INVESTMENT CORP.    EQUITY 552848103        338      55,386 SH       SOLE           1     55,386         --       --
MGM MIRAGE INC           EQUITY 552953101         99       2,929 SH       SOLE           1      2,929         --       --
MICHAEL BAKER CORP       EQUITY 57149106         145       6,623 SH       SOLE           1      6,623         --       --





                                                                                
MICREL, INC.             EQUITY 594793101        412      44,985 SH       SOLE           1     44,985         --       --
MICROCHIP TECHNOLOGY INC EQUITY 595017104      2,908      95,210 SH       SOLE           2     95,210         --       --
MICROCHIP TECHNOLOGY,
   INC.                  EQUITY 595017104     21,857     715,678 SH       SOLE           1    715,678         --       --
MICRON TECHNOLOGY INC    EQUITY 595112103          5         865 SH       SOLE           2        865         --       --
MICRON TECHNOLOGY INC    EQUITY 595112103         13       2,161 SH       DEFINED        5         --         --    2,161
MICRON TECHNOLOGY, INC.  EQUITY 595112103      2,009     334,812 SH       SOLE           1    334,812         --       --
MICROS SYSTEMS, INC.     EQUITY 594901100      2,249      73,775 SH       SOLE           1     73,775         --       --
MICROSEMI CORP           EQUITY 595137100      1,105      43,900 SH       SOLE           2     43,900         --       --
MICROSEMI CORP COM       EQUITY 595137100      2,674     106,200 SH       SOLE           3     106200         --       --
MICROSEMI CORP.          EQUITY 595137100      3,712     147,429 SH       SOLE           1    147,429         --       --
MICROSOFT CORP           EQUITY 594918104     37,192   1,351,961 SH       SOLE           2  1,351,961         --       --
MICROSOFT CORP           EQUITY 594918104        667      24,253 SH       DEFINED        4         --         --   24,253
MICROSOFT CORP           EQUITY 594918104      1,033      37,556 SH       DEFINED        5         --         --   37,556
MICROSOFT CORP.          EQUITY 594918104    189,478   6,887,609 SH       SOLE           1  6,887,609         --       --
MICROSTRATEGY INC        EQUITY 594972408        530       8,189 SH       SOLE           1      8,189         --       --
MICROTUNE INC            EQUITY 59514P109        170      49,182 SH       SOLE           1     49,182         --       --
MICROTUNE INC DEL        EQUITY 59514P109      1,315     380,000 SH       SOLE           2    380,000         --       --
MICROVISION INC.         EQUITY 594960106        141      51,409 SH       SOLE           1     51,409         --       --
MICRUS ENDOVASCULAR CORP EQUITY 59518V102        197      14,087 SH       SOLE           1     14,087         --       --
MID-AMERICA APT.
   COMMUNITIES           EQUITY 59522J103      7,339     143,784 SH       SOLE           1    143,784         --       --
MIDAS, INC.              EQUITY 595626102        627      46,476 SH       SOLE           1     46,476         --       --
MIDCAP SPDR TR           EQUITY 595635103        835       5,610 SH       DEFINED        4         --         --    5,610
MIDCAP SPDR TR           EQUITY 595635103         80         539 SH       DEFINED        5         --         --      539
MIDDLEBROOK
   PHARMACEUTICALS INC   EQUITY 596087106        110      32,471 SH       SOLE           1     32,471         --       --
MIDDLEBY CORP            EQUITY 596278101        675      15,364 SH       SOLE           1     15,364         --       --
MIDDLEBY CORP            EQUITY 596278101          4         100 SH       DEFINED        4         --         --      100
MIDDLEBY CORP            EQUITY 596278101          9         200 SH       DEFINED        5         --         --      200
MIDDLESEX WATER CO       EQUITY 596680108        199      12,018 SH       SOLE           1     12,018         --       --
MIDDLESEX WATER CO       EQUITY 596680108         10         600 SH       DEFINED        4         --         --      600
MIDWAY GAMES INC.        EQUITY 598148104         23      10,410 SH       SOLE           1     10,410         --       --
MIDWEST BANC HOLDINGS
   INC.                  EQUITY 598251106         98      20,110 SH       SOLE           1     20,110         --       --
MILLER HERMAN INC        EQUITY 600544100         11         432 SH       DEFINED        5         --         --      432
MILLICOM INTL CELLULAR
   S A                   EQUITY L6388F110          2          23 SH       DEFINED        4         --         --       23
MILLIPORE CORP           EQUITY 601073109          4          63 SH       SOLE           2         63         --       --
MILLIPORE CORP.          EQUITY 601073109      3,282      48,361 SH       SOLE           1     48,361         --       --
MINAS BUENAVENTURA-SPON
   ADR                   EQUITY 204448104     26,192     400,666 SH       SOLE           1    400,666         --       --
MINDRAY MEDICAL
   INTERNATIONAL LTD     EQUITY 602675100     14,570     390,400 SH       SOLE           1    390,400         --       --
MINDRAY MEDICAL INTL LTD EQUITY 602675100        154       4,125 SH       DEFINED        5         --         --    4,125
MINE SAFETY APPLIANCES
   CO                    EQUITY 602720104          2          50 SH       DEFINED        5         --         --       50
MINE SAFETY APPLIANCES
   CO.                   EQUITY 602720104      3,835      95,889 SH       SOLE           1     95,889         --       --
MINEFINDERS LTD          EQUITY 602900102          5         491 SH       DEFINED        5         --         --      491
MINERALS TECHNOLOGIES,
   INC.                  EQUITY 603158106      3,867      60,811 SH       SOLE           1     60,811         --       --
MIPS TECHNOLOGIES INC    EQUITY 604567107        150      40,122 SH       SOLE           1     40,122         --       --
MIRANT CORP              EQUITY 60467R100     32,153     820,702 SH       SOLE           1    820,702         --       --
MIRANT CORP NEW          EQUITY 60467R100        241       6,161 SH       SOLE           2      6,161         --       --
MIRANT CORP NEW          EQUITY 60467R118          4         240 SH       DEFINED        4         --         --      240
MIRANT CORP NEW          EQUITY 60467R118          1          78 SH       DEFINED        5         --         --       78
MISSION WEST PROPERTIES  EQUITY 605203108        675      61,548 SH       SOLE           1     61,548         --       --
MITCHAM INDS INC         EQUITY 606501104      1,695      99,264 SH       SOLE           2     99,264         --       --
MITCHAM INDUSTRIES INC   EQUITY 606501104        152       8,874 SH       SOLE           1      8,874         --       --
MITSUBISHI UFJ FINL
   GROUP IN              EQUITY 606822104          3         338 SH       DEFINED        4         --         --      338
MKS INSTRUMENTS, INC.    EQUITY 55306N104        988      45,135 SH       SOLE           1     45,135         --       --





                                                                                
MOBILE MINI INC.         EQUITY 60740F105        627      31,365 SH       SOLE           1     31,365         --       --
MOBILE TELESYSTEMS OJSC  EQUITY 607409109         15         200 SH       DEFINED        4         --         --      200
MOBILE TELESYSTEMS-SP
   ADR                   EQUITY 607409109     18,681     243,210 SH       SOLE           1    243,210         --       --
MODINE MANUFACTURING CO. EQUITY 607828100      1,284     103,826 SH       SOLE           1    103,826         --       --
MOHAWK INDUSTRIES, INC.  EQUITY 608190104      8,323     129,849 SH       SOLE           1    129,849         --       --
MOLECULAR INSIGHT
   PHARMACEUTICALS INC   EQUITY 60852M104         88      16,015 SH       SOLE           1     16,015         --       --
MOLEX INC                EQUITY 608554101          4         158 SH       SOLE           2        158         --       --
MOLEX, INC.              EQUITY 608554101      1,490      61,058 SH       SOLE           1     61,058         --       --
MOLINA HEALTHCARE INC    EQUITY 60855R100        320      13,157 SH       SOLE           1     13,157         --       --
MOLSON COORS BREWING CO  EQUITY 60871R209      3,310      60,917 SH       SOLE           1     60,917         --       --
MOLSON COORS BREWING CO  EQUITY 60871R209          9         159 SH       SOLE           2        159         --       --
MOLSON COORS BREWING CO  EQUITY 60871R209         10         179 SH       DEFINED        4         --         --      179
MOMENTA PHARMACEUTICALS
   INC                   EQUITY 60877T100        273      22,229 SH       SOLE           1     22,229         --       --
MONARCH CASINO & RESOR   EQUITY 609027107        135      11,409 SH       SOLE           1     11,409         --       --
MONMOUTH REIT -CL A      EQUITY 609720107        115      17,912 SH       SOLE           1     17,912         --       --
MONOGRAM BIOSCIENCES INC EQUITY 60975U108          5       4,350 SH       DEFINED        5         --         --    4,350
MONOLITHIC POWER
   SYSTEMS INC           EQUITY 609839105        511      23,638 SH       SOLE           1     23,638         --       --
MONOLITHIC PWR SYS INC   EQUITY 609839105      1,518      70,200 SH       SOLE           2     70,200         --       --
MONOLITHIC PWR SYS INC   EQUITY 609839105         22       1,000 SH       DEFINED        4         --         --    1,000
MONOLITHIC PWR SYS INC   EQUITY 609839105         46       2,150 SH       DEFINED        5         --         --    2,150
MONOTYPE IMAGING
   HOLDINGS INC          EQUITY 61022P100        166      13,645 SH       SOLE           1     13,645         --       --
MONRO MUFFLER BRAKE IN   EQUITY 610236101        229      14,748 SH       SOLE           1     14,748         --       --
MONSANTO CO              EQUITY 61166W101     44,208     349,633 SH       SOLE           1    349,633         --       --
MONSANTO CO NEW          EQUITY 61166W101     12,856     101,677 SH       SOLE           2    101,677         --       --
MONSANTO CO NEW          EQUITY 61166W101        153       1,211 SH       DEFINED        4         --         --    1,211
MONSANTO CO NEW          EQUITY 61166W101        147       1,163 SH       DEFINED        5         --         --    1,163
MONSTER WORLDWIDE INC    EQUITY 611742107      2,297     111,431 SH       SOLE           1    111,431         --       --
MONSTER WORLDWIDE INC    EQUITY 611742107          3         141 SH       SOLE           2        141         --       --
MONSTER WORLDWIDE INC    EQUITY 611742107         19         900 SH       DEFINED        5         --         --      900
MONTEREY GOURMET FOODS
   INC                   EQUITY 612570101          4       1,900 SH       DEFINED        4         --         --    1,900
MONTPELIER RE HOLDINGS
   LTD                   EQUITY G62185106          3         200 SH       DEFINED        5         --         --      200
MOODYS CORP              EQUITY 615369105          8         231 SH       SOLE           2        231         --       --
MOODYS CORP              EQUITY 615369105         87       2,525 SH       DEFINED        5         --         --    2,525
MOODY'S CORP.            EQUITY 615369105      7,153     207,681 SH       SOLE           1    207,681         --       --
MOOG INC.                EQUITY 615394202      1,438      38,608 SH       SOLE           1     38,608         --       --
MORGAN STANLEY           EQUITY 617446448     21,131     585,821 SH       SOLE           1    585,821         --       --
MORGAN STANLEY           EQUITY 617446448     18,468     741,083 SH       SOLE           2    741,083         --       --
MORGAN STANLEY           EQUITY 61745P866          7         550 SH       DEFINED        4         --         --      550
MORGAN STANLEY           EQUITY 61745P668          4         350 SH       DEFINED        4         --         --      350
MORGAN STANLEY           EQUITY 617446448          6         178 SH       DEFINED        4         --         --      178
MORGAN STANLEY           EQUITY 617446448        134       3,720 SH       DEFINED        5         --         --    3,720
MORGAN STANLEY           EQUITY 61745P429         14       1,750 SH       DEFINED        5         --         --    1,750
MORGAN STANLEY           EQUITY 61745P437          5         544 SH       DEFINED        5         --         --      544
MORGAN STANLEY EMER
   MKTS DEB              EQUITY 61744H105         17       1,780 SH       DEFINED        5         --         --    1,780
MORGANS HOTEL GROUP CO   EQUITY 61748W108        252      24,448 SH       SOLE           1     24,448         --       --
MORNINGSTAR INC          EQUITY 617700109         27         371 SH       SOLE           1        371         --       --
MORNINGSTAR INC          EQUITY 617700109        713       9,900 SH       SOLE           2      9,900         --       --
MOSAIC CO                EQUITY 61945A107        880     596,700 SH       SOLE           2    596,700         --       --
MOSAIC CO                EQUITY 61945A107      1,364       9,428 SH       DEFINED        4         --         --    9,428
MOSAIC CO                EQUITY 61945A107         43         300 SH       DEFINED        5         --         --      300
MOSAIC CO COM            EQUITY 61945A107      9,348      64,600 SH       SOLE           3      28600         --    36000
MOSAIC CO/THE            EQUITY 61945A107      1,137       7,861 SH       SOLE           1      7,861         --       --





                                                                                
MOTOROLA INC             EQUITY 620076109         19       2,564 SH       SOLE           2      2,564         --       --
MOTOROLA INC             EQUITY 620076109         11       1,454 SH       DEFINED        4         --         --    1,454
MOTOROLA INC             EQUITY 620076109        322      43,836 SH       DEFINED        5         --         --   43,836
MOTOROLA, INC.           EQUITY 620076109     10,328   1,407,145 SH       SOLE           1  1,407,145         --       --
MOVADO GROUP, INC.       EQUITY 624580106        285      14,414 SH       SOLE           1     14,414         --       --
MOVE INC                 EQUITY 62458M108        271     116,239 SH       SOLE           1    116,239         --       --
MPS GROUP INC            EQUITY 553409103      3,225     303,425 SH       SOLE           1    303,425         --       --
MRV COMMUNICATIONS, INC. EQUITY 553477100        169     142,386 SH       SOLE           1    142,386         --       --
MSC INDL DIRECT INC      EQUITY 553530106          8         181 SH       DEFINED        4         --         --      181
MSC INDUSTRIAL DIRECT
   CO.                   EQUITY 553530106      4,862     110,219 SH       SOLE           1    110,219         --       --
MSC SOFTWARE CORPORATION EQUITY 553531104        447      40,705 SH       SOLE           1     40,705         --       --
MSCI INC                 EQUITY 55354G100         37       1,013 SH       SOLE           1      1,013         --       --
MSCI INC                 EQUITY 55354G100          5         135 SH       DEFINED        5         --         --      135
MTS SYSTEMS CORP.        EQUITY 553777103        570      15,887 SH       SOLE           1     15,887         --       --
MUELLER INDUSTRIES, INC. EQUITY 624756102      1,082      33,611 SH       SOLE           1     33,611         --       --
MUELLER WATER PRODUCTS
   INC                   EQUITY 624758108        842     104,297 SH       SOLE           1    104,297         --       --
MUELLER WATER PRODUCTS
   INC                   EQUITY 624758207         16       1,862 SH       SOLE           1      1,862         --       --
MULTI-COLOR CORP         EQUITY 625383104        181       8,602 SH       SOLE           1      8,602         --       --
MULTI-FINELINE
   ELECTRONIX IN         EQUITY 62541B101        218       7,861 SH       SOLE           1      7,861         --       --
MURPHY OIL CORP          EQUITY 626717102        531       5,416 SH       SOLE           2      5,416         --       --
MURPHY OIL CORP.         EQUITY 626717102     15,906     162,223 SH       SOLE           1    162,223         --       --
MV OIL TR                EQUITY 553859109        306      10,657 SH       DEFINED        4         --         --   10,657
MVC CAPITAL INC          EQUITY 553829102        301      22,010 SH       SOLE           1     22,010         --       --
MWI VETERINARY SUPPLY
   INC                   EQUITY 55402X105        308       9,289 SH       SOLE           1      9,289         --       --
MWI VETERINARY SUPPLY
   INC                   EQUITY 55402X105      2,437      73,600 SH       SOLE           2     73,600         --       --
MWI VETERINARY SUPPLY
   INC                   EQUITY 55402X105         10         300 SH       DEFINED        5         --         --      300
MYERS INDUSTRIES, INC.   EQUITY 628464109        209      25,641 SH       SOLE           1     25,641         --       --
MYLAN INC                EQUITY 628530206     18,571      20,530 SH       SOLE           1     20,530         --       --
MYLAN INC                EQUITY 628530107      6,068     502,746 SH       SOLE           2    502,746         --       --
MYLAN INC                EQUITY 628530107        237      19,668 SH       DEFINED        4         --         --   19,668
MYLAN INC                EQUITY 628530107         55       4,550 SH       DEFINED        5         --         --    4,550
MYLAN INC FORMERLY
   MYLAN L               EQUITY 628530206        771         877 SH       SOLE           2        877         --       --
MYLAN INC.               EQUITY 628530107      1,588     131,526 SH       SOLE           1    131,526         --       --
MYRIAD GENETICS INC      EQUITY 62855J104      1,841      40,436 SH       SOLE           1     40,436         --       --
MYRIAD GENETICS INC      EQUITY 62855J104          9         200 SH       DEFINED        5         --         --      200
NABI BIOPHARMACEUTICALS  EQUITY 629519109        185      46,941 SH       SOLE           1     46,941         --       --
NABI BIOPHARMACEUTICALS  EQUITY 629519109          2         400 SH       DEFINED        4         --         --      400
NABORS INDS INC COM (F)  EQUITY G6359F103      6,986     141,900 SH       SOLE           3      72100         --    69800
NABORS INDUSTRIES LTD    EQUITY G6359F103         16         320 SH       SOLE           2        320         --       --
NABORS INDUSTRIES LTD    EQUITY G6359F103         22         450 SH       DEFINED        4         --         --      450
NABORS INDUSTRIES LTD    EQUITY G6359F103         17         337 SH       DEFINED        5         --         --      337
NACCO INDUSTRIES, INC.
   CLASS A               EQUITY 629579103        400       5,378 SH       SOLE           1      5,378         --       --
NALCO HOLDING CO         EQUITY 62985Q101         71       3,356 SH       SOLE           1      3,356         --       --
NANOSPHERE INC           EQUITY 63009F105         92      11,680 SH       SOLE           1     11,680         --       --
NAPCO SEC SYS INC        EQUITY 630402105          1         225 SH       DEFINED        4         --         --      225
NARA BANCORP INC         EQUITY 63080P105        222      20,644 SH       SOLE           1     20,644         --       --
NASB FINL INC            EQUITY 628968109         55       3,093 SH       SOLE           1      3,093         --       --
NASDAQ OMX GROUP INC     EQUITY 631103108      2,501      94,200 SH       SOLE           2     94,200         --       --
NASDAQ OMX GROUP INC     EQUITY 631103108         10         386 SH       DEFINED        4         --         --      386
NASDAQ OMX GROUP/THE     EQUITY 631103108      2,783     104,838 SH       SOLE           1    104,838         --       --
NASHFINCH CO.            EQUITY 631158102        395      11,536 SH       SOLE           1     11,536         --       --
NATCO GROUP INC          EQUITY 63227W203        988      18,112 SH       SOLE           1     18,112         --       --





                                                                                
NATIONAL BEVERAGE CORP.  EQUITY 635017106         71       9,740 SH       SOLE           1      9,740         --       --
NATIONAL BK GREECE S A   EQUITY 633643408         11       1,251 SH       DEFINED        4         --         --    1,251
NATIONAL CINEMEDIA INC   EQUITY 635309107        406      38,108 SH       SOLE           1     38,108         --       --
NATIONAL CINEMEDIA INC   EQUITY 635309107         20       1,900 SH       SOLE           2      1,900         --       --
NATIONAL CITY CORP       EQUITY 635405103          4         864 SH       SOLE           2        864         --       --
NATIONAL CITY CORP       EQUITY 635405103          3         550 SH       DEFINED        4         --         --      550
NATIONAL CITY CORP       EQUITY 635405103          5       1,000 SH       DEFINED        5         --         --    1,000
NATIONAL CITY CORP.      EQUITY 635405103      1,606     336,786 SH       SOLE           1    336,786         --       --
NATIONAL COAL CORP       EQUITY 632381208        206      23,254 SH       SOLE           1     23,254         --       --
NATIONAL FINANCIAL
   PARTNERS              EQUITY 63607P208        709      35,787 SH       SOLE           1     35,787         --       --
NATIONAL FINL PARTNERS
   CORP                  EQUITY 63607P208          4         200 SH       DEFINED        4         --         --      200
NATIONAL FUEL GAS CO N J EQUITY 636180101        116       1,950 SH       DEFINED        5         --         --    1,950
NATIONAL FUEL GAS CO.    EQUITY 636180101     11,330     190,492 SH       SOLE           1    190,492         --       --
NATIONAL GRID PLC        EQUITY 636274300         29         445 SH       DEFINED        4         --         --      445
NATIONAL HEALTHCARE CORP EQUITY 635906100        352       7,688 SH       SOLE           1      7,688         --       --
NATIONAL INSTRS CORP     EQUITY 636518102          6         202 SH       DEFINED        4         --         --      202
NATIONAL INSTRUMENTS
   CORP.                 EQUITY 636518102      3,739     131,804 SH       SOLE           1    131,804         --       --
NATIONAL INTERSTATE CORP EQUITY 63654U100        102       5,565 SH       SOLE           1      5,565         --       --
NATIONAL OILWELL VARCO
   INC                   EQUITY 637071101     25,343     285,648 SH       SOLE           1    285,648         --       --
NATIONAL OILWELL VARCO
   INC                   EQUITY 637071101      4,882      55,022 SH       SOLE           2     55,022         --       --
NATIONAL OILWELL VARCO
   INC                   EQUITY 637071101        138       1,553 SH       DEFINED        4         --         --    1,553
NATIONAL OILWELL VARCO
   INC                   EQUITY 637071101        314       3,541 SH       DEFINED        5         --         --    3,541
NATIONAL PENN
   BANCSHARES INC        EQUITY 637138108         90       6,765 SH       DEFINED        4         --         --    6,765
NATIONAL PENN
   BANCSHARES, INC.      EQUITY 637138108        956      72,001 SH       SOLE           1     72,001         --       --
NATIONAL PRESTO
   INDUSTRIES            EQUITY 637215104        261       4,067 SH       SOLE           1      4,067         --       --
NATIONAL RESEARCH CORP   EQUITY 637372103         41       1,549 SH       SOLE           1      1,549         --       --
NATIONAL RETAIL
   PROPERTIES I          EQUITY 637417106        524      25,090 SH       DEFINED        4         --         --   25,090
NATIONAL RETAIL
   PROPERTIES INC        EQUITY 637417106     10,871     520,124 SH       SOLE           1    520,124         --       --
NATIONAL SEMICONDUCTOR
   COR                   EQUITY 637640103        102       4,945 SH       SOLE           2      4,945         --       --
NATIONAL SEMICONDUCTOR
   CORP                  EQUITY 637640103          4         202 SH       DEFINED        4         --         --      202
NATIONAL SEMICONDUCTOR
   CORP.                 EQUITY 637640103      3,650     177,689 SH       SOLE           1    177,689         --       --
NATIONAL WESTERN LIFE
   INS. CO. CLASS A      EQUITY 638522102        448       2,049 SH       SOLE           1      2,049         --       --
NATIONWIDE FINANCIAL
   SERVICES              EQUITY 638612101         73       1,529 SH       SOLE           1      1,529         --       --
NATIONWIDE HEALTH PPTYS
   INC                   EQUITY 638620104         47       1,500 SH       DEFINED        5         --         --    1,500
NATIONWIDE HEALTH
   PROPERTIES            EQUITY 638620104     15,665     497,451 SH       SOLE           1    497,451         --       --
NATURAL GAS SERVICES
   GROUP INC             EQUITY 63886Q109        334      10,950 SH       SOLE           1     10,950         --       --
NATURAL RESOURCE
   PARTNERS L            EQUITY 63900P103         29         700 SH       DEFINED        4         --         --      700
NATUS MEDICAL INC        EQUITY 639050103      1,987      94,872 SH       SOLE           1     94,872         --       --
NATUS MEDICAL INC DEL
   COM                   EQUITY 639050103      3,581     171,000 SH       SOLE           3     171000         --       --
NAUTILUS INC             EQUITY 63910B102        105      20,639 SH       SOLE           1     20,639         --       --
NAVIGANT CONSULTING CO.  EQUITY 63935N107      2,919     149,254 SH       SOLE           1    149,254         --       --
NAVIGATORS GROUP INC     EQUITY 638904102        645      11,931 SH       SOLE           1     11,931         --       --
NAVIOS MARITIME
   HOLDINGS INC          EQUITY Y62196103        162      16,750 SH       DEFINED        5         --         --   16,750
NAVTEQ CORP              EQUITY 63936L100     14,986     194,628 SH       SOLE           1    194,628         --       --
NBT BANCORP INC          EQUITY 628778102         93       4,500 SH       DEFINED        4         --         --    4,500
NBT BANCORP, INC.        EQUITY 628778102        599      29,069 SH       SOLE           1     29,069         --       --
NBTY INC                 EQUITY 628782104      3,084      96,200 SH       SOLE           2     96,200         --       --
NBTY, INC.               EQUITY 628782104      3,882     121,097 SH       SOLE           1    121,097         --       --
NCI BUILDING SYS INC     EQUITY 628852105         10         279 SH       DEFINED        5         --         --      279
NCI BUILDING SYSTEMS,
   INC.                  EQUITY 628852105        657      17,877 SH       SOLE           1     17,877         --       --
NCI INC                  EQUITY 62886K104        135       5,890 SH       SOLE           1      5,890         --       --
NCR CORP NEW             EQUITY 6.2886E+112        7         282 SH       DEFINED        5         --         --      282





                                                                                
NCR CORP.                EQUITY 6.2886E+112    9,856     391,123 SH       SOLE           1    391,123         --       --
NECTAR THERAPEUTICS      EQUITY 640268108        280      83,706 SH       SOLE           1     83,706         --       --
NEENAH PAPER INC         EQUITY 640079109        221      13,217 SH       SOLE           1     13,217         --       --
NEKTAR THERAPEUTICS      EQUITY 640268AH1      3,462   5,000,000 SH       SOLE           1  5,000,000         --       --
NEKTAR THERAPEUTICS      EQUITY 640268AH1        172     250,000 SH       SOLE           2    250,000         --       --
NELNET INC-CL A          EQUITY 64031N108        178      15,843 SH       SOLE           1     15,843         --       --
NEOGEN CORP              EQUITY 640491106        299      13,051 SH       SOLE           1     13,051         --       --
NESS TECHNOLOGIES INC    EQUITY 64104X108      1,517     149,886 SH       SOLE           1    149,886         --       --
NESS TECHNOLOGIES INC
   COM                   EQUITY 64104X108      1,812     179,100 SH       SOLE           3     179100         --       --
NET 1 UEPS TECHNOLOGIES
   IN                    EQUITY 64107N206        851      35,000 SH       SOLE           2     35,000         --       --
NET 1 UEPS TECHNOLOGIES
   INC                   EQUITY 64107N206        990      40,731 SH       SOLE           1     40,731         --       --
NET 1 UEPS TECHNOLOGIES
   INC                   EQUITY 64107N206         69       2,853 SH       DEFINED        5         --         --    2,853
NET SERVICOS DE
   COMUNICACAO           EQUITY 64109T201          9         676 SH       DEFINED        4         --         --      676
NETAPP INC               EQUITY 64110D104      5,079     234,484 SH       SOLE           1    234,484         --       --
NETAPP INC               EQUITY 64110D104         39       1,781 SH       SOLE           2      1,781         --       --
NETAPP INC               EQUITY 64110D104          1          50 SH       DEFINED        4         --         --       50
NETAPP INC               EQUITY 64110D104          9         426 SH       DEFINED        5         --         --      426
NETEZZA CORP             EQUITY 64111N101        413      35,722 SH       SOLE           1     35,722         --       --
NETFLIX INC              EQUITY 64110L106          3         130 SH       DEFINED        5         --         --      130
NETFLIX.COM INC          EQUITY 64110L106      3,664     140,546 SH       SOLE           1    140,546         --       --
NETGEAR INC              EQUITY 64111Q104        444      32,017 SH       SOLE           1     32,017         --       --
NETLOGIC MICROSYSTEMS
   INC                   EQUITY 64118B100        514      15,486 SH       SOLE           1     15,486         --       --
NETLOGIC MICROSYSTEMS
   INC                   EQUITY 64118B100        365      11,000 SH       SOLE           2     11,000         --       --
NETLOGIC MICROSYSTEMS
   INC                   EQUITY 64118B100         54       1,623 SH       DEFINED        5         --         --    1,623
NETSCOUT SYSTEMS INC     EQUITY 64115T104        285      26,683 SH       SOLE           1     26,683         --       --
NETSUITE INC             EQUITY 64118Q107        132       6,438 SH       SOLE           1      6,438         --       --
NETSUITE INC             EQUITY 64118Q107          2          95 SH       DEFINED        5         --         --       95
NEUBERGER BERMAN INTER
   MUNI                  EQUITY 64124P101          2         150 SH       DEFINED        4         --         --      150
NEUBERGER BERMAN RE ES
   SEC F                 EQUITY 64190A103          1         133 SH       DEFINED        5         --         --      133
NEUROCRINE BIOSCIENCES,
   INC.                  EQUITY 64125C109        146      34,805 SH       SOLE           1     34,805         --       --
NEUSTAR INC-CLASS A      EQUITY 64126X201      4,931     228,707 SH       SOLE           1    228,707         --       --
NEUTRAL TANDEM INC       EQUITY 64128B108        264      15,085 SH       SOLE           1     15,085         --       --
NEW AMER HIGH INCOME FD
   INC                   EQUITY 641876107        266     166,456 SH       DEFINED        5         --         --  166,456
NEW JERSEY RESOURCES
   CORP.                 EQUITY 646025106      1,240      37,981 SH       SOLE           1     37,981         --       --
NEW ORIENTAL ENERGY &
   CHEM C                EQUITY 64758A107         13       2,500 SH       DEFINED        5         --         --    2,500
NEW YORK & CO            EQUITY 649295102        192      21,030 SH       SOLE           1     21,030         --       --
NEW YORK CMNTY BANCORP
   INC                   EQUITY 649445103         16         900 SH       DEFINED        5         --         --      900
NEW YORK COMMUNITY
   BANCORP INC           EQUITY 649445103     14,257     799,159 SH       SOLE           1    799,159         --       --
NEW YORK TIMES CO        EQUITY 650111107          3         163 SH       SOLE           2        163         --       --
NEW YORK TIMES CO.
   CLASS  A              EQUITY 650111107        976      63,447 SH       SOLE           1     63,447         --       --
NEWALLIANCE BANCSHARES
   INC                   EQUITY 650203102      1,228      98,370 SH       SOLE           1     98,370         --       --
NEWCASTLE INVESTMENT
   CORP                  EQUITY 65105M108        335      47,813 SH       SOLE           1     47,813         --       --
NEWCASTLE INVT CORP      EQUITY 65105M108         34       4,900 SH       DEFINED        4         --         --    4,900
NEWCASTLE INVT CORP      EQUITY 65105M108          2         300 SH       DEFINED        5         --         --      300
NEWELL RUBBERMAID INC    EQUITY 651229106          5         315 SH       SOLE           2        315         --       --
NEWELL RUBBERMAID INC    EQUITY 651229106          2         107 SH       DEFINED        4         --         --      107
NEWELL RUBBERMAID INC    EQUITY 651229106          7         400 SH       DEFINED        5         --         --      400
NEWELL RUBBERMAID, INC.  EQUITY 651229106      2,050     122,120 SH       SOLE           1    122,120         --       --
NEWFIELD EXPL CO         EQUITY 651290108         34         516 SH       DEFINED        4         --         --      516
NEWFIELD EXPLORATION     EQUITY 651290108     21,209     325,045 SH       SOLE           1    325,045         --       --
NEWMARKET CORP           EQUITY 651587107        808      12,202 SH       SOLE           1     12,202         --       --
NEWMONT MINING CORP      EQUITY 651639106        199       3,822 SH       DEFINED        5         --         --    3,822





                                                                                
NEWMONT MINING CORP
   HLDG CO               EQUITY 651639106     10,708     205,289 SH       SOLE           1    205,289         --       --
NEWMONT MNG CORP         EQUITY 651639106         27         516 SH       SOLE           2        516         --       --
NEWPARK RESOURCES, INC.  EQUITY 651718504        640      81,384 SH       SOLE           1     81,384         --       --
NEWPORT CORP             EQUITY 651824104        371      32,607 SH       SOLE           1     32,607         --       --
NEWS CORP                EQUITY 6.5248E+108   37,062   2,464,237 SH       SOLE           1  2,464,237         --       --
NEWS CORP                EQUITY 6.5248E+108   16,497   1,096,893 SH       SOLE           2  1,096,893         --       --
NEWS CORP                EQUITY 6.5248E+108        3         200 SH       DEFINED        4         --         --      200
NEWS CORP                EQUITY 6.5248E+108       27       1,816 SH       DEFINED        5         --         --    1,816
NEWS CORP                EQUITY 6.5248E+207        4         250 SH       DEFINED        5         --         --      250
NEWSTAR FINANCIAL INC    EQUITY 65251F105        128      21,667 SH       SOLE           1     21,667         --       --
NEWTEK BUSINESS
   SERVICES INC          EQUITY 652526104      1,319   1,280,683 SH       SOLE           1  1,280,683         --       --
NEXEN INC                EQUITY 65334H102     16,251     405,638 SH       OTHER          1         --    405,638       --
NEXEN INC                EQUITY 65334H102         36         900 SH       DEFINED        5         --         --      900
NEXTWAVE WIRELESS INC    EQUITY 65337Y102        177      43,887 SH       SOLE           1     43,887         --       --
NFJ DIVID INT & PREM
   STRTGY                EQUITY 65337H109         45       2,104 SH       DEFINED        4         --         --    2,104
NFJ DIVID INT & PREM
   STRTGY                EQUITY 65337H109         23       1,098 SH       DEFINED        5         --         --    1,098
NGP CAPITAL RESOURCES CO EQUITY 62912R107        302      19,593 SH       SOLE           1     19,593         --       --
NIC INC                  EQUITY 62914B100        247      36,130 SH       SOLE           1     36,130         --       --
NIC INC                  EQUITY 62914B100         14       2,000 SH       DEFINED        5         --         --    2,000
NICHOLAS APPLEGATE
   CV&INC FD             EQUITY 65370G109         29       2,478 SH       DEFINED        4         --         --    2,478
NICHOLAS APPLEGATE
   CV&INC FD             EQUITY 65370G109          6         494 SH       DEFINED        5         --         --      494
NICHOLAS-APPLEGATE CV &
   INC                   EQUITY 65370F101        228      19,281 SH       DEFINED        4         --         --   19,281
NICHOLAS-APPLEGATE CV &
   INC                   EQUITY 65370F101        255      21,555 SH       DEFINED        5         --         --   21,555
NICHOLAS-APPLGT INTL &
   PRM S                 EQUITY 65370C108         10         500 SH       DEFINED        4         --         --      500
NICOR INC                EQUITY 654086107          2          51 SH       SOLE           2         51         --       --
NICOR INC                EQUITY 654086107         10         245 SH       DEFINED        5         --         --      245
NICOR, INC.              EQUITY 654086107      2,529      59,381 SH       SOLE           1     59,381         --       --
NIGHTHAWK RADIOLOGY
   HLDGS IN              EQUITY 65411N105        249      35,200 SH       DEFINED        5         --         --   35,200
NIGHTHAWK RADIOLOGY
   HOLDINGS INC          EQUITY 65411N105        161      22,719 SH       SOLE           1     22,719         --       --
NII HLDGS INC            EQUITY 62913F201      8,149     171,600 SH       SOLE           2    171,600         --       --
NII HLDGS INC            EQUITY 62913F201         33         700 SH       DEFINED        5         --         --      700
NII HOLDINGS INC-CL B    EQUITY 62913F201        602      12,680 SH       SOLE           1     12,680         --       --
NIKE INC                 EQUITY 654106103        500       8,381 SH       SOLE           2      8,381         --       --
NIKE INC                 EQUITY 654106103         36         608 SH       DEFINED        4         --         --      608
NIKE INC                 EQUITY 654106103        851      14,284 SH       DEFINED        5         --         --   14,284
NIKE, INC. CLASS  B      EQUITY 654106103     26,330     441,703 SH       SOLE           1    441,703         --       --
NIPPON TELEG & TEL CORP  EQUITY 654624105          2          96 SH       DEFINED        4         --         --       96
NISOURCE INC             EQUITY 65473P105          6         312 SH       SOLE           2        312         --       --
NISOURCE INC             EQUITY 65473P105          8         450 SH       DEFINED        4         --         --      450
NISOURCE INC             EQUITY 65473P105          9         500 SH       DEFINED        5         --         --      500
NISOURCE, INC.           EQUITY 65473P105      9,742     543,642 SH       SOLE           1    543,642         --       --
NITROMED INC             EQUITY 654798503        135     133,346 SH       SOLE           1    133,346         --       --
NITROMED INC             EQUITY 654798503          1       1,000 SH       DEFINED        5         --         --    1,000
NL INDS INC              EQUITY 629156407         13       1,400 SH       DEFINED        4         --         --    1,400
NL INDUSTRIES, INC.      EQUITY 629156407         59       6,163 SH       SOLE           1      6,163         --       --
NN INC                   EQUITY 629337106        200      14,363 SH       SOLE           1     14,363         --       --
NOBLE CORPORATION        EQUITY G65422100         20         306 SH       SOLE           2        306         --       --
NOBLE CORPORATION        EQUITY G65422100         97       1,495 SH       DEFINED        4         --         --    1,495
NOBLE CORPORATION        EQUITY G65422100        183       2,822 SH       DEFINED        5         --         --    2,822
NOBLE ENERGY INC         EQUITY 655044105         20         196 SH       SOLE           2        196         --       --
NOBLE ENERGY INC         EQUITY 655044105         64         641 SH       DEFINED        4         --         --      641
NOBLE ENERGY INC         EQUITY 655044105         14         138 SH       DEFINED        5         --         --      138





                                                                                
NOBLE ENERGYINC          EQUITY 655044105     20,440     203,262 SH       SOLE           1    203,262         --       --
NOKIA CORP               EQUITY 654902204        703      28,700 SH       SOLE           2     28,700         --       --
NOKIA CORP               EQUITY 654902204        113       4,630 SH       DEFINED        4         --         --    4,630
NOKIA CORP               EQUITY 654902204         76       3,119 SH       DEFINED        5         --         --    3,119
NORDIC AMERICAN TANKER
   SHIPP                 EQUITY G65773106        392      10,100 SH       DEFINED        5         --         --   10,100
NORDSON CORP.            EQUITY 655663102      7,903     108,417 SH       SOLE           1    108,417         --       --
NORDSTROM INC            EQUITY 655664100          6         200 SH       SOLE           2        200         --       --
NORDSTROM INC            EQUITY 655664100          6         196 SH       DEFINED        4         --         --      196
NORDSTROM INC            EQUITY 655664100         50       1,652 SH       DEFINED        5         --         --    1,652
NORDSTROM, INC.          EQUITY 655664100      2,265      74,749 SH       SOLE           1     74,749         --       --
NORFOLK SOUTHERN CORP    EQUITY 655844108     24,027     383,397 SH       SOLE           1    383,397         --       --
NORFOLK SOUTHERN CORP    EQUITY 655844108         27         427 SH       DEFINED        4         --         --      427
NORFOLK SOUTHERN CORP    EQUITY 655844108          3          47 SH       DEFINED        5         --         --       47
NORFOLK SOUTHN CORP      EQUITY 655844108      1,395      22,267 SH       SOLE           2     22,267         --       --
NORTEL NETWORKS CORP     EQUITY 656568508        145      17,646 SH       OTHER          1         --     17,646       --
NORTEL NETWORKS CORP NEW EQUITY 656568508         98      11,981 SH       SOLE           2     11,981         --       --
NORTEL NETWORKS CORP NEW EQUITY 656568508          2         226 SH       DEFINED        4         --         --      226
NORTEL NETWORKS CORP NEW EQUITY 656568508         11       1,370 SH       DEFINED        5         --         --    1,370
NORTH AMERN GALVANZNG
   COM                   EQUITY 65686Y109      1,869     212,600 SH       SOLE           3     212600         --       --
NORTH AMERN PALLADIUM
   LTD CALL              EQUITY 656912902          2          35     CALL DEFINED        5         --         --       35
NORTHEAST UTILITIES      EQUITY 664397106      9,304     364,450 SH       SOLE           1    364,450         --       --
NORTHEAST UTILS          EQUITY 664397106        595      23,300 SH       SOLE           2     23,300         --       --
NORTHEAST UTILS          EQUITY 664397106          3         105 SH       DEFINED        5         --         --      105
NORTHERN OIL AND GAS INC EQUITY 665531109        236      17,759 SH       SOLE           1     17,759         --       --
NORTHERN TR CORP         EQUITY 665859104          3          37 SH       DEFINED        4         --         --       37
NORTHERN TR CORP COM     EQUITY 665859104      3,099      45,200 SH       SOLE           3      10300         --    34900
NORTHERN TRUST CORP      EQUITY 665859104        385       5,618 SH       SOLE           2      5,618         --       --
NORTHERN TRUST CORP.     EQUITY 665859104     10,235     149,262 SH       SOLE           1    149,262         --       --
NORTHFIELD BANCORP INC   EQUITY 66611L105        192      17,817 SH       SOLE           1     17,817         --       --
NORTHFIELD BANCORP INC
   NEW                   EQUITY 66611L105         39       3,600 SH       DEFINED        5         --         --    3,600
NORTHGATE MINERALS CORP  EQUITY 666416102          2         800 SH       DEFINED        5         --         --      800
NORTHGATE MINERALS CORP
   CALL                  EQUITY 666416902          1          15     CALL DEFINED        5         --         --       15
NORTHROP GRUMMAN CORP    EQUITY 666807102        198       2,959 SH       SOLE           2      2,959         --       --
NORTHROP GRUMMAN CORP    EQUITY 666807102         65         973 SH       DEFINED        5         --         --      973
NORTHROP GRUMMAN CORP.   EQUITY 666807102     49,920     746,193 SH       SOLE           1    746,193         --       --
NORTHSTAR RLTY FIN CORP  EQUITY 66704R100          5         650 SH       DEFINED        4         --         --      650
NORTHSTAR RLTY FIN CORP  EQUITY 66704R100          2         220 SH       DEFINED        5         --         --      220
NORTHWEST AIRLINES CORP  EQUITY 667280408         54       8,081 SH       SOLE           1      8,081         --       --
NORTHWEST AIRLS CORP     EQUITY 667280408          7         986 SH       DEFINED        4         --         --      986
NORTHWEST BANCORP INC.   EQUITY 667328108        337      15,453 SH       SOLE           1     15,453         --       --
NORTHWEST NAT GAS CO     EQUITY 667655104        194       4,188 SH       DEFINED        4         --         --    4,188
NORTHWEST NATURAL GAS
   CO.                   EQUITY 667655104      1,107      23,929 SH       SOLE           1     23,929         --       --
NORTHWEST PIPE CO        EQUITY 667746101        462       8,281 SH       SOLE           1      8,281         --       --
NORTHWESTERN CORP        EQUITY 668074305        897      35,305 SH       SOLE           1     35,305         --       --
NOVA BIOSOURCE FUELS INC EQUITY 65488W103          3       5,063 SH       DEFINED        5         --         --    5,063
NOVA CHEMICALS CORP      EQUITY 66977W109        650      26,275 SH       OTHER          1         --     26,275       --
NOVARTIS A G             EQUITY 66987V109         44         803 SH       DEFINED        4         --         --      803
NOVARTIS A G             EQUITY 66987V109        128       2,318 SH       DEFINED        5         --         --    2,318
NOVATEL WIRELESS INC     EQUITY 66987M604        319      28,706 SH       SOLE           1     28,706         --       --
NOVAVAX INC              EQUITY 670002104        118      47,243 SH       SOLE           1     47,243         --       --
NOVELL INC               EQUITY 670006105          2         402 SH       SOLE           2        402         --       --
NOVELL, INC .            EQUITY 670006105        901     152,966 SH       SOLE           1    152,966         --       --





                                                                                
NOVELLUS SYS INC         EQUITY 670008101        947      44,714 SH       SOLE           2     44,714         --       --
NOVELLUS SYS INC         EQUITY 670008101         17         800 SH       DEFINED        5         --         --      800
NOVELLUS SYSTEMS, INC.   EQUITY 670008101        921      43,449 SH       SOLE           1     43,449         --       --
NOVEN PHARMACEUTICALS,
   INC.                  EQUITY 670009109        240      22,488 SH       SOLE           1     22,488         --       --
NPS  PHARMACEUTICALS
   INC.                  EQUITY 62936P103        190      42,761 SH       SOLE           1     42,761         --       --
NRG ENERGY INC           EQUITY 629377508     13,107     305,527 SH       SOLE           1    305,527         --       --
NRG ENERGY INC           EQUITY 629377508        107       2,500 SH       SOLE           2      2,500         --       --
NRG ENERGY INC           EQUITY 629377508          4         100 SH       DEFINED        5         --         --      100
NSTAR                    EQUITY 6.7019E+111   21,173     626,041 SH       SOLE           1    626,041         --       --
NTELOS HOLDINGS CORP     EQUITY 67020Q107        687      27,075 SH       SOLE           1     27,075         --       --
NTN BUZZTIME INC         EQUITY 629410309         16      45,639 SH       SOLE           1     45,639         --       --
NU SKIN ENTERPRISES,
   INC. CLASS A          EQUITY 67018T105        669      44,859 SH       SOLE           1     44,859         --       --
NUANCE COMMUNICATIONS
   INC                   EQUITY 67020Y100        956      61,000 SH       SOLE           2     61,000         --       --
NUCOR CORP               EQUITY 670346105        635       8,507 SH       SOLE           2      8,507         --       --
NUCOR CORP               EQUITY 670346105         15         204 SH       DEFINED        4         --         --      204
NUCOR CORP               EQUITY 670346105         99       1,321 SH       DEFINED        5         --         --    1,321
NUCOR CORP.              EQUITY 670346105      9,319     124,797 SH       SOLE           1    124,797         --       --
NUSTAR ENERGY LP         EQUITY 67058H102      1,801      38,000 SH       SOLE           1     38,000         --       --
NUSTAR ENERGY LP         EQUITY 67058H102         92       1,942 SH       DEFINED        4         --         --    1,942
NUSTAR ENERGY LP         EQUITY 67058H102         24         500 SH       DEFINED        5         --         --      500
NUTRI/SYSTEM INC         EQUITY 67069D108        391      27,670 SH       SOLE           1     27,670         --       --
NUVASIVE INC             EQUITY 670704105      2,587      57,918 SH       SOLE           1     57,918         --       --
NUVASIVE INC COM         EQUITY 670704105        607      13,600 SH       SOLE           3      13600         --       --
NUVEEN ARIZ DIVID
   ADVANTAGE             EQUITY 67071P107         10         730 SH       DEFINED        5         --         --      730
NUVEEN CA DIV ADV MUNI
   FD 3                  EQUITY 67070Y109         17       1,340 SH       DEFINED        5         --         --    1,340
NUVEEN CALIF MUN VALUE
   FD                    EQUITY 67062C107         16       1,630 SH       DEFINED        4         --         --    1,630
NUVEEN CONN PREM INCOME
   MUN                   EQUITY 67060D107         12         900 SH       DEFINED        5         --         --      900
NUVEEN CORE EQUITY
   ALPHA FUN             EQUITY 67090X107          7         500 SH       DEFINED        5         --         --      500
NUVEEN DIV ADVANTAGE
   MUN FD                EQUITY 67070F100         26       1,760 SH       DEFINED        4         --         --    1,760
NUVEEN DIVERSIFIED DIV
   INCM                  EQUITY 6706EP105         31       2,539 SH       DEFINED        5         --         --    2,539
NUVEEN DIVID ADVANTAGE
   MUN F                 EQUITY 67066V101          1          85 SH       DEFINED        4         --         --       85
NUVEEN EQUITY PREM ADV
   FD                    EQUITY 6706ET107          8         500 SH       DEFINED        5         --         --      500
NUVEEN EQUITY PREM
   INCOME FD             EQUITY 6706ER101         71       4,728 SH       DEFINED        5         --         --    4,728
NUVEEN FLTNG RTE INCM
   OPP FD                EQUITY 6706EN100          5         500 SH       DEFINED        4         --         --      500
NUVEEN GA DIV ADV MUN
   FD 2                  EQUITY 67072B107         10         733 SH       DEFINED        5         --         --      733
NUVEEN GBL VL
   OPPORTUNITIES         EQUITY 6706EH103         21       1,155 SH       DEFINED        5         --         --    1,155
NUVEEN GLB GOVT
   ENHANCED IN           EQUITY 67073C104         22       1,384 SH       DEFINED        5         --         --    1,384
NUVEEN INSD PREM INCOME
   MUN                   EQUITY 6706D8104         19       1,674 SH       DEFINED        5         --         --    1,674
NUVEEN INVT QUALITY MUN
   FD I                  EQUITY 6.7062E+107       19       1,400 SH       DEFINED        4         --         --    1,400
NUVEEN MULT CURR ST GV
   INCM                  EQUITY 67090N109         14         778 SH       DEFINED        5         --         --      778
NUVEEN MULTI STRAT INC
   & GR                  EQUITY 67073B106         70       7,300 SH       DEFINED        4         --         --    7,300
NUVEEN MULTI STRAT INC
   & GR                  EQUITY 67073B106         10         998 SH       DEFINED        5         --         --      998
NUVEEN MULTI STRAT INC
   GR FD                 EQUITY 67073D102         41       4,157 SH       DEFINED        5         --         --    4,157
NUVEEN MUN VALUE FD INC  EQUITY 670928100         15       1,524 SH       DEFINED        4         --         --    1,524
NUVEEN MUN VALUE FD INC  EQUITY 670928100          4         466 SH       DEFINED        5         --         --      466
NUVEEN N C DIV ADV FD 2  EQUITY 67071D104         95       7,411 SH       DEFINED        4         --         --    7,411
NUVEEN N C PREM INCOME
   MUN F                 EQUITY 67060P100         95       7,569 SH       DEFINED        4         --         --    7,569
NUVEEN NC DIV ADV MUN
   FD 3                  EQUITY 67072D103         94       7,035 SH       DEFINED        4         --         --    7,035
NUVEEN NC DIVID
   ADVANTAGE MU          EQUITY 67069N106        125       8,790 SH       DEFINED        4         --         --    8,790
NUVEEN OHIO QUALITY
   INCOME M              EQUITY 670980101          7         519 SH       DEFINED        4         --         --      519
NUVEEN PERFORMANCE PLUS
   MUN                   EQUITY 67062P108          5         400 SH       DEFINED        4         --         --      400
NUVEEN PREM INCOME MUN
   FD                    EQUITY 67062T100          4         325 SH       DEFINED        4         --         --      325





                                                                                
NUVEEN PREM INCOME MUN
   FD 2                  EQUITY 67063W102          5         415 SH       DEFINED        4         --         --      415
NUVEEN PREMIER INSD MUN
   INCO                  EQUITY 670987106        399      31,650 SH       DEFINED        4         --         --   31,650
NUVEEN QUALITY PFD
   INCOME FD             EQUITY 67072C105         13       1,300 SH       DEFINED        4         --         --    1,300
NUVEEN QUALITY PFD
   INCOME FD             EQUITY 67071S101         38       4,056 SH       DEFINED        5         --         --    4,056
NUVEEN SELECT TAX FREE
   INCM                  EQUITY 67063X100          3         189 SH       DEFINED        4         --         --      189
NUVEEN SELECT TAX FREE
   INCM                  EQUITY 67062F100         19       1,330 SH       DEFINED        5         --         --    1,330
NUVEEN SR INCOME FD      EQUITY 67067Y104         38       5,773 SH       DEFINED        5         --         --    5,773
NUVEEN TAX ADV FLTG
   RATE FUN              EQUITY 6706EV102          2         333 SH       DEFINED        5         --         --      333
NVE CORP                 EQUITY 629445206        133       4,203 SH       SOLE           1      4,203         --       --
NVE CORP                 EQUITY 629445206          6         200 SH       DEFINED        5         --         --      200
NVIDIA CORP              EQUITY 67066G104     10,114     540,283 SH       SOLE           1    540,283         --       --
NVIDIA CORP              EQUITY 67066G104      3,627     193,732 SH       SOLE           2    193,732         --       --
NVIDIA CORP              EQUITY 67066G104         40       2,118 SH       DEFINED        4         --         --    2,118
NVIDIA CORP              EQUITY 67066G104         91       4,885 SH       DEFINED        5         --         --    4,885
NVIDIA CORP CALL         EQUITY 67066G904         26          35     CALL DEFINED        5         --         --       35
NVR, INC.                EQUITY 62944T105      6,558      13,114 SH       SOLE           1     13,114         --       --
NXSTAGE MEDICAL INC      EQUITY 67072V103         71      18,599 SH       SOLE           1     18,599         --       --
NYMAGIC, INC.            EQUITY 629484106         77       4,027 SH       SOLE           1      4,027         --       --
NYMEX HOLDINGS INC       EQUITY 62948N104      1,375      16,277 SH       SOLE           1     16,277         --       --
NYMEX HOLDINGS INC       EQUITY 62948N104         42         500 SH       DEFINED        5         --         --      500
NYSE EURONEXT            EQUITY 629491101      5,333     105,271 SH       SOLE           1    105,271         --       --
NYSE EURONEXT            EQUITY 629491101        152       3,001 SH       SOLE           2      3,001         --       --
NYSE EURONEXT            EQUITY 629491101        190       3,742 SH       DEFINED        4         --         --    3,742
NYSE EURONEXT            EQUITY 629491101        220       4,339 SH       DEFINED        5         --         --    4,339
O REILLY AUTOMOTIVE INC  EQUITY 686091109         40       1,775 SH       DEFINED        5         --         --    1,775
OBAGI MEDICAL PRODUCTS
   INC                   EQUITY 67423R108        137      16,065 SH       SOLE           1     16,065         --       --
OCCIDENTAL PETE CORP     EQUITY 674599105      7,732      86,043 SH       SOLE           2     86,043         --       --
OCCIDENTAL PETE CORP DEL EQUITY 674599105        116       1,287 SH       DEFINED        4         --         --    1,287
OCCIDENTAL PETE CORP DEL EQUITY 674599105        379       4,218 SH       DEFINED        5         --         --    4,218
OCCIDENTAL PETROLEUM
   CORP.                 EQUITY 674599105     35,560     395,730 SH       SOLE           1    395,730         --       --
OCEANEERING

   INTERNATIONAL, INC    EQUITY 675232102         98       1,269 SH       SOLE           1      1,269         --       --
OCEANEERING INTL INC     EQUITY 675232102         27         350 SH       DEFINED        5         --         --      350
OCEANFIRST FINANCIAL
   CORP                  EQUITY 675234108        145       8,006 SH       SOLE           1      8,006         --       --
OCEANFREIGHT INC         EQUITY Y64202107          2         100 SH       DEFINED        5         --         --      100
O'CHARLEY'S INC.         EQUITY 670823103        165      16,408 SH       SOLE           1     16,408         --       --
OCWEN FINANCIAL CORP     EQUITY 675746309        150      32,261 SH       SOLE           1     32,261         --       --
ODYSSEY HEALTHCARE INC   EQUITY 67611V101        289      29,664 SH       SOLE           1     29,664         --       --
ODYSSEY MARINE
   EXPLORATION           EQUITY 676118102        172      43,552 SH       SOLE           1     43,552         --       --
ODYSSEY MARINE
   EXPLORATION I         EQUITY 676118102         11       2,748 SH       DEFINED        5         --         --    2,748
ODYSSEY RE HLDGS CORP    EQUITY 67612W108        780      21,970 SH       SOLE           1     21,970         --       --
OFFICE DEPOT INC         EQUITY 676220106          3         311 SH       SOLE           2        311         --       --
OFFICE DEPOT INC         EQUITY 676220106        252      23,033 SH       DEFINED        5         --         --   23,033
OFFICE DEPOT, INC.       EQUITY 676220106      1,318     120,480 SH       SOLE           1    120,480         --       --
OFFICEMAX INC            EQUITY 67622P101      1,092      78,548 SH       SOLE           1     78,548         --       --
OGE ENERGY CORP.         EQUITY 670837103      6,838     215,647 SH       SOLE           1    215,647         --       --
OIL STATES
   INTERNATIONAL INC     EQUITY 678026105         83       1,309 SH       SOLE           1      1,309         --       --
OIL STATES INTL INC      EQUITY 678026105        761      12,000 SH       SOLE           2     12,000         --       --
OIL SVC HOLDRS TR        EQUITY 678002106         22         100 SH       DEFINED        4         --         --      100
OILSANDS QUEST INC       EQUITY 678046103        971     149,423 SH       SOLE           1    149,423         --       --
OILSANDS QUEST INC       EQUITY 678046103         12       1,800 SH       DEFINED        5         --         --    1,800
OLD DOMINION FGHT LINE
   COM                   EQUITY 679580100        714      23,800 SH       SOLE           3      23800         --       --
OLD DOMINION FREIGHT
   LINE                  EQUITY 679580100      2,181      72,661 SH       SOLE           1     72,661         --       --





                                                                                
OLD MUTUAL CLAYMORE LNG
   SHT                   EQUITY 68003N103         13       1,000 SH       DEFINED        5         --         --    1,000
OLD NATL BANCORP         EQUITY 680033107        855      59,971 SH       SOLE           1     59,971         --       --
OLD REPUBLIC INTL CORP.  EQUITY 680223104      6,400     540,538 SH       SOLE           1    540,538         --       --
OLD SECOND BANCORP INC   EQUITY 680277100        145      12,449 SH       SOLE           1     12,449         --       --
OLIN CORP.               EQUITY 680665205      6,297     240,511 SH       SOLE           1    240,511         --       --
OLYMPIC STEEL INC        EQUITY 68162K106      2,383      31,385 SH       SOLE           1     31,385         --       --
OLYMPIC STEEL INC        EQUITY 68162K106          8         100 SH       DEFINED        5         --         --      100
OLYMPIC STEEL INC CALL   EQUITY 68162K906          1           2     CALL DEFINED        5         --         --        2
OLYMPIC STEEL INC COM    EQUITY 68162K106      3,340      44,000 SH       SOLE           3      44000         --       --
OM GROUP INC             EQUITY 670872100        907      27,663 SH       SOLE           1     27,663         --       --
OM GROUP INC             EQUITY 670872100          2          50 SH       DEFINED        4         --         --       50
OMEGA FLEX INC           EQUITY 682095104         43       2,819 SH       SOLE           1      2,819         --       --
OMEGA HEALTHCARE
   INVESTORS             EQUITY 681936100      1,044      62,692 SH       SOLE           1     62,692         --       --
OMEGA HEALTHCARE INVS
   INC                   EQUITY 681936100          7         400 SH       DEFINED        5         --         --      400
OMEGA NAVIGATION
   ENTERPRISES           EQUITY Y6476R105         11         650 SH       DEFINED        5         --         --      650
OMEGA PROTEIN CORP       EQUITY 68210P107        249      16,633 SH       SOLE           1     16,633         --       --
OMEGA PROTEIN CORP COM   EQUITY 68210P107      2,589     173,200 SH       SOLE           3     173200         --       --
OMNICARE, INC.           EQUITY 681904108      7,461     284,552 SH       SOLE           1    284,552         --       --
OMNICELL INC             EQUITY 68213N109        393      29,812 SH       SOLE           1     29,812         --       --
OMNICOM GROUP            EQUITY 681919106        190       4,224 SH       SOLE           2      4,224         --       --
OMNICOM GROUP INC        EQUITY 681919106          7         158 SH       DEFINED        4         --         --      158
OMNICOM GROUP INC        EQUITY 681919106          2          36 SH       DEFINED        5         --         --       36
OMNICOM GROUP, INC.      EQUITY 681919106      8,723     194,373 SH       SOLE           1    194,373         --       --
OMNITURE INC             EQUITY 68212S109      1,049      56,509 SH       SOLE           1     56,509         --       --
OMNITURE INC             EQUITY 68212S109          7         400 SH       DEFINED        5         --         --      400
OMNIVISION TECHNOLOGIE   EQUITY 682128103        559      46,242 SH       SOLE           1     46,242         --       --
OMRIX
   BIOPHARMACEUTICALS
   INC                   EQUITY 681989109        204      12,947 SH       SOLE           1     12,947         --       --
ON ASSIGNMENT INC        EQUITY 682159108        257      32,081 SH       SOLE           1     32,081         --       --
ON SEMICONDUCTOR CORP    EQUITY 682189105      2,033     221,750 SH       SOLE           2    221,750         --       --
ON SEMICONDUCTOR CORP    EQUITY 682189105         28       3,000 SH       DEFINED        4         --         --    3,000
ON SEMICONDUCTOR
   CORPORATION           EQUITY 682189105         84       9,130 SH       SOLE           1      9,130         --       --
ON TRACK INNOVATION LTD  EQUITY M8791A109          2       1,000 SH       DEFINED        5         --         --    1,000
ONE LIBERTY PROPERTIES
   INC                   EQUITY 682406103        118       7,233 SH       SOLE           1      7,233         --       --
ONEOK INC NEW            EQUITY 682680103         44         907 SH       DEFINED        5         --         --      907
ONEOK PARTNERS LP        EQUITY 68268N103         39         700 SH       DEFINED        4         --         --      700
ONEOK PARTNERS LP        EQUITY 68268N103         17         300 SH       DEFINED        5         --         --      300
ONEOK, INC.              EQUITY 682680103     11,942     244,555 SH       SOLE           1    244,555         --       --
ONLINE RESOURCES CORP    EQUITY 68273G101        218      26,109 SH       SOLE           1     26,109         --       --
ONYX PHARMACEUTICALS INC EQUITY 683399109      1,792      50,348 SH       SOLE           1     50,348         --       --
OPEN JT STK CO-VIMPEL
   COMMUN                EQUITY 68370R109         44       1,491 SH       DEFINED        4         --         --    1,491
OPEN TEXT CORP           EQUITY 683715106        173       5,398 SH       OTHER          1         --      5,398       --
OPEN TEXT CORP           EQUITY 683715106          4         134 SH       DEFINED        4         --         --      134
OPKO HEALTH INC          EQUITY 68375N103         66      43,471 SH       SOLE           1     43,471         --       --
OPLINK COMMUNICATIONS
   INC                   EQUITY 68375Q403        180      18,775 SH       SOLE           1     18,775         --       --
OPNET TECHNOLOGIES       EQUITY 683757108        107      11,937 SH       SOLE           1     11,937         --       --
OPNEXT INC               EQUITY 68375V105         93      17,274 SH       SOLE           1     17,274         --       --
OPTIMER PHARMACEUTICALS
   INC                   EQUITY 68401H104        178      21,907 SH       SOLE           1     21,907         --       --
OPTIONSXPRESS HLDGS INC  EQUITY 684010101        360      16,100 SH       SOLE           2     16,100         --       --
OPTIONSXPRESS HLDGS INC  EQUITY 684010101         18         807 SH       DEFINED        5         --         --      807
OPTIONSXPRESS HOLDINGS
   INC                   EQUITY 684010101        857      38,352 SH       SOLE           1     38,352         --       --
OPTIUM CORP              EQUITY 68402T107         90      12,410 SH       SOLE           1     12,410         --       --
ORACLE CORP              EQUITY 68389X105     12,893     671,083 SH       SOLE           2    671,083         --       --





                                                                                
ORACLE CORP              EQUITY 68389X105        409      19,469 SH       DEFINED        4         --         --   19,469
ORACLE CORP              EQUITY 68389X105        318      15,138 SH       DEFINED        5         --         --   15,138
ORACLE CORP.             EQUITY 68389X105    110,441   5,259,075 SH       SOLE           1  5,259,075         --       --
ORASURE TECHNOLOGIES INC EQUITY 68554V108        159      42,438 SH       SOLE           1     42,438         --       --
ORBCOMM INC              EQUITY 68555P100        163      28,638 SH       SOLE           1     28,638         --       --
ORBITAL SCIENCES CORP    EQUITY 685564106        752      31,900 SH       SOLE           2     31,900         --       --
ORBITAL SCIENCES CORP.   EQUITY 685564106      1,649      69,989 SH       SOLE           1     69,989         --       --
ORBITZ WORLDWIDE INC     EQUITY 68557K109        166      33,153 SH       SOLE           1     33,153         --       --
O'REILLY AUTOMOTIVE,
   INC.                  EQUITY 686091109      6,044     270,422 SH       SOLE           1    270,422         --       --
OREXIGEN THERAPEUTICS
   INC                   EQUITY 686164104        143      18,151 SH       SOLE           1     18,151         --       --
ORIENTAL FINANCIAL GROUP EQUITY 68618W100        314      22,004 SH       SOLE           1     22,004         --       --
ORIGIN AGRITECH LIMITED  EQUITY G67828106         30       5,000 SH       DEFINED        5         --         --    5,000
ORION ENERGY SYSTEMS INC EQUITY 686275108         81       8,127 SH       SOLE           1      8,127         --       --
ORION ENERGY SYSTEMS INC EQUITY 686275108         10       1,000 SH       DEFINED        4         --         --    1,000
ORION MARINE GROUP INC   EQUITY 68628V308        276      19,536 SH       SOLE           1     19,536         --       --
ORITANI FINANCIAL CORP   EQUITY 686323106        188      11,754 SH       SOLE           1     11,754         --       --
ORIX CORP                EQUITY 686330101          2          27 SH       DEFINED        4         --         --       27
ORLEANS HOMEBUILDERS INC EQUITY 686588104        177      48,450 SH       DEFINED        5         --         --   48,450
ORMAT TECHNOLOGIES INC   EQUITY 686688102        798      16,217 SH       SOLE           1     16,217         --       --
ORMAT TECHNOLOGIES INC   EQUITY 686688102         30         611 SH       DEFINED        4         --         --      611
ORMAT TECHNOLOGIES INC   EQUITY 686688102         22         450 SH       DEFINED        5         --         --      450
ORTHOFIX INTERNATIONAL
   NV                    EQUITY N6748L102      1,155      39,900 SH       SOLE           2     39,900         --       --
ORTHOVITA INC            EQUITY 68750U102        123      59,976 SH       SOLE           1     59,976         --       --
OSCIENT PHARMACEUTICALS  EQUITY 68812RAC9      3,070   7,628,000 SH       SOLE           1  7,628,000         --       --
OSCIENT PHARMACEUTICALS
   CORP                  EQUITY 68812R303        105      74,221 SH       SOLE           1     74,221         --       --
OSHKOSH CORP             EQUITY 688239201          7         344 SH       DEFINED        5         --         --      344
OSHKOSH CORP CL B        EQUITY 688239201      3,603     174,144 SH       SOLE           1    174,144         --       --
OSI PHARMACEUTICALS      EQUITY 671040103      2,141      51,814 SH       SOLE           1     51,814         --       --
OSI SYSTEMS INC          EQUITY 671044105        305      14,250 SH       SOLE           1     14,250         --       --
OSI SYSTEMS INC          EQUITY 671044105          4         187 SH       DEFINED        5         --         --      187
OSIRIS THERAPEUTICS INC  EQUITY 68827R108        174      13,524 SH       SOLE           1     13,524         --       --
OSIRIS THERAPEUTICS INC  EQUITY 68827R108         13       1,000 SH       DEFINED        5         --         --    1,000
OTELCO INC               EQUITY 688823202         20       1,225 SH       DEFINED        4         --         --    1,225
OTELCO INC               EQUITY 688823202          3         200 SH       DEFINED        5         --         --      200
OTTER TAIL CORP          EQUITY 689648103        116       3,000 SH       DEFINED        4         --         --    3,000
OTTER TAIL CORP          EQUITY 689648103          4         100 SH       DEFINED        5         --         --      100
OTTER TAIL POWER CO.     EQUITY 689648103      1,057      27,227 SH       SOLE           1     27,227         --       --
OUTDOOR CHANNEL
   HOLDINGS INC          EQUITY 690027206        102      14,573 SH       SOLE           1     14,573         --       --
OVERSEAS SHIPHOLDING
   GROUP                 EQUITY 690368105      4,995      62,809 SH       SOLE           1     62,809         --       --
OVERSTOCK.COM            EQUITY 690370101        362      13,963 SH       SOLE           1     13,963         --       --
OWENS & MINOR INC NEW    EQUITY 690732102          2          37 SH       DEFINED        4         --         --       37
OWENS & MINOR INC NEW    EQUITY 690732102          3          62 SH       DEFINED        5         --         --       62
OWENS & MINOR, INC.      EQUITY 690732102      1,702      37,247 SH       SOLE           1     37,247         --       --
OWENS + MINOR INC NEW    EQUITY 690732102        153       3,350 SH       SOLE           2      3,350         --       --
OWENS CORNING INC        EQUITY 690742101      6,882     302,526 SH       SOLE           1    302,526         --       --
OWENS ILL INC            EQUITY 690768403         49       1,170 SH       DEFINED        4         --         --    1,170
OWENS-ILLINOIS INC       EQUITY 690768403      5,362     128,621 SH       SOLE           1    128,621         --       --
OXFORD INDS INC.         EQUITY 691497309        247      12,887 SH       SOLE           1     12,887         --       --
OYO GEOSPACE CORP        EQUITY 671074102        218       3,692 SH       SOLE           1      3,692         --       --
P G & E CORP.            EQUITY 69331C108     31,101     783,609 SH       SOLE           1    783,609         --       --
P. F. CHANGS CHINA
   BISTRO INC.           EQUITY 69333Y108        489      21,889 SH       SOLE           1     21,889         --       --
PACCAR INC               EQUITY 693718108         80       1,915 SH       SOLE           2      1,915         --       --





                                                                                
PACCAR INC               EQUITY 693718108         22         523 SH       DEFINED        5         --         --      523
PACCAR, INC              EQUITY 693718108     14,079     336,578 SH       SOLE           1    336,578         --       --
PACER INTERNATIONAL INC  EQUITY 69373H106        676      31,424 SH       SOLE           1     31,424         --       --
PACER INTL INC TENN      EQUITY 69373H106         11         510 SH       DEFINED        5         --         --      510
PACHOLDER HIGH YIELD FD
   INC                   EQUITY 693742108         12       1,477 SH       DEFINED        4         --         --    1,477
PACHOLDER HIGH YIELD FD
   INC                   EQUITY 693742108        111      13,356 SH       DEFINED        5         --         --   13,356
PACIFIC CAPITAL BANCORP  EQUITY 69404P101        576      41,764 SH       SOLE           1     41,764         --       --
PACIFIC CONTINENTAL CORP EQUITY 69412V108        106       9,659 SH       SOLE           1      9,659         --       --
PACIFIC ETHANOL INC      EQUITY 69423U107         72      40,054 SH       SOLE           1     40,054         --       --
PACIFIC SUNWEAR OF CALIF EQUITY 694873100      5,166     605,600 SH       SOLE           2    605,600         --       --
PACIFIC SUNWEAR OF
   CALIFORNIA            EQUITY 694873100      1,908     223,680 SH       SOLE           1    223,680         --       --
PACKAGING CORP OF
   AMERICA               EQUITY 695156109      4,612     214,395 SH       SOLE           1    214,395         --       --
PACTIV CORP              EQUITY 695257105          3         149 SH       SOLE           2        149         --       --
PACTIV CORP              EQUITY 695257105          7         333 SH       DEFINED        4         --         --      333
PACTIV CORPORATION       EQUITY 695257105      1,782      83,949 SH       SOLE           1     83,949         --       --
PACWEST BANCORP          EQUITY 695263103      4,407     296,146 SH       SOLE           1    296,146         --       --
PAETEC HOLDING CORP      EQUITY 695459107        711     111,932 SH       SOLE           1    111,932         --       --
PAIN THERAPEUTICS INC    EQUITY 69562K100        246      31,132 SH       SOLE           1     31,132         --       --
PALL CORP                EQUITY 696429307      2,032      51,219 SH       SOLE           1     51,219         --       --
PALL CORP                EQUITY 696429307          5         136 SH       SOLE           2        136         --       --
PALL CORP                EQUITY 696429307         16         400 SH       DEFINED        5         --         --      400
PALM HARBOR HOMES, INC   EQUITY 696639103         50       8,963 SH       SOLE           1      8,963         --       --
PALM INC                 EQUITY 696643105      1,860     345,014 SH       SOLE           1    345,014         --       --
PALM INC NEW             EQUITY 696643105          5       1,000 SH       DEFINED        5         --         --    1,000
PALOMAR MED
   TECHNOLOGIES INC      EQUITY 697529303          2         176 SH       DEFINED        4         --         --      176
PALOMAR MEDICAL
   TECHNOLOGIES          EQUITY 697529303        165      16,530 SH       SOLE           1     16,530         --       --
PAN AMERICAN SILVER CORP EQUITY 697900108         92       2,667 SH       OTHER          1         --      2,667       --
PAN AMERICAN SILVER CORP EQUITY 697900108        657      19,000 SH       SOLE           2     19,000         --       --
PAN AMERICAN SILVER CORP EQUITY 697900108         15         441 SH       DEFINED        5         --         --      441
PANERA BREAD CO          EQUITY 69840W108         98       2,120 SH       DEFINED        4         --         --    2,120
PANERA BREAD CO          EQUITY 69840W108        185       4,000 SH       DEFINED        5         --         --    4,000
PANERA BREAD COMPANY CL
   A                     EQUITY 69840W108         28         611 SH       SOLE           1        611         --       --
PANHANDLE OIL AND GAS
   INC                   EQUITY 698477106        224       6,629 SH       SOLE           1      6,629         --       --
PANHANDLE OIL AND GAS
   INC                   EQUITY 698477106          7         207 SH       DEFINED        4         --         --      207
PANTRY INC               EQUITY 698657103        214      20,120 SH       SOLE           1     20,120         --       --
PAPA JOHNS
   INTERNATIONAL, INC    EQUITY 698813102        526      19,799 SH       SOLE           1     19,799         --       --
PAR PHARMACEUTICAL
   COMPANIES, INC        EQUITY 69888P106      1,804     111,182 SH       SOLE           1    111,182         --       --
PARAGON SHIPPING INC     EQUITY 69913R309         12         700 SH       DEFINED        5         --         --      700
PARAGON SHIPPING INC CL
   A (F)                 EQUITY 69913R309        871      51,900 SH       SOLE           3      51900         --       --
PARALLEL PETE CORP DEL   EQUITY 699157103      2,957     146,900 SH       SOLE           2    146,900         --       --
PARALLEL PETROLEUM CORP  EQUITY 699157103        755      37,482 SH       SOLE           1     37,482         --       --
PARAMETRIC TECHNOLOGY
   CORP                  EQUITY 699173209      6,176     370,510 SH       SOLE           1    370,510         --       --
PARAMETRIC TECHNOLOGY
   CORP                  EQUITY 699173209        578      34,700 SH       SOLE           2     34,700         --       --
PAREXEL INTERNATIONAL
   CORP.                 EQUITY 699462107      1,349      51,285 SH       SOLE           1     51,285         --       --
PAREXEL INTL CORP        EQUITY 699462107        592      22,500 SH       SOLE           2     22,500         --       --
PARK ELECTROCHEMICAL
   CORP                  EQUITY 700416209          2          65 SH       DEFINED        5         --         --       65
PARK ELECTROCHEMICAL
   CORP.                 EQUITY 700416209        448      18,433 SH       SOLE           1     18,433         --       --
PARK NATIONAL CORP.      EQUITY 700658107        539      10,007 SH       SOLE           1     10,007         --       --
PARK NATL CORP           EQUITY 700658107          3          52 SH       DEFINED        4         --         --       52
PARK NATL CORP           EQUITY 700658107        117       2,174 SH       DEFINED        5         --         --    2,174
PARKER DRILLING CO.      EQUITY 701081101      1,024     102,316 SH       SOLE           1    102,316         --       --
PARKER HANNIFIN CORP     EQUITY 701094104        156       2,191 SH       SOLE           2      2,191         --       --





                                                                                
PARKER HANNIFIN CORP.    EQUITY 701094104      5,088      71,347 SH       SOLE           1     71,347         --       --
PARKERVISION INC         EQUITY 701354102        207      20,817 SH       SOLE           1     20,817         --       --
PARK-OHIO HOLDINGS CORP  EQUITY 700666100        109       7,400 SH       SOLE           1      7,400         --       --
PARKWAY PROPERTIES, INC. EQUITY 70159Q104        467      13,841 SH       SOLE           1     13,841         --       --
PATRIOT CAPITAL FUNDING
   INC                   EQUITY 70335Y104        117      18,754 SH       SOLE           1     18,754         --       --
PATRIOT CAPITAL FUNDING
   INC                   EQUITY 70335Y104         19       3,000 SH       DEFINED        5         --         --    3,000
PATRIOT COAL CORP        EQUITY 70336T104         94         616 SH       SOLE           1        616         --       --
PATRIOT COAL CORP        EQUITY 70336T104         10          67 SH       DEFINED        4         --         --       67
PATRIOT COAL CORP        EQUITY 70336T104          2          12 SH       DEFINED        5         --         --       12
PATRIOT COAL CORPORATION EQUITY 70336T104        552       3,600 SH       SOLE           2      3,600         --       --
PATRIOT TRANSPORTATION
   HOLDING INC           EQUITY 70337B102        115       1,438 SH       SOLE           1      1,438         --       --
PATTERSON COS INC        EQUITY 703395103     36,471   1,240,934 SH       SOLE           1  1,240,934         --       --
PATTERSON COS INC        EQUITY 703395103          4         147 SH       SOLE           2        147         --       --
PATTERSON UTI ENERGY INC EQUITY 703481101      8,560     237,500 SH       SOLE           2    237,500         --       --
PATTERSON UTI ENERGY INC EQUITY 703481101         25         702 SH       DEFINED        5         --         --      702
PATTERSON-UTI ENERGY INC EQUITY 703481101     13,045     361,052 SH       SOLE           1    361,052         --       --
PAYCHEX INC              EQUITY 704326107      2,231      71,315 SH       SOLE           2     71,315         --       --
PAYCHEX INC              EQUITY 704326107        151       4,816 SH       DEFINED        4         --         --    4,816
PAYCHEX INC              EQUITY 704326107         13         405 SH       DEFINED        5         --         --      405
PAYCHEX, INC.            EQUITY 704326107      6,511     208,138 SH       SOLE           1    208,138         --       --
PC CONNECTION INC        EQUITY 69318J100         80       8,595 SH       SOLE           1      8,595         --       --
PC MALL INC              EQUITY 69323K100        136      10,017 SH       SOLE           1     10,017         --       --
PC-TEL  INC.             EQUITY 69325Q105        181      18,901 SH       SOLE           1     18,901         --       --
PDL BIOPHARMA INC        EQUITY 69329Y104      4,076     383,779 SH       SOLE           1    383,779         --       --
PEABODY ENERGY CORP      EQUITY 704549104     20,771     235,895 SH       SOLE           1    235,895         --       --
PEABODY ENERGY CORP      EQUITY 704549104        908      10,309 SH       SOLE           2     10,309         --       --
PEABODY ENERGY CORP      EQUITY 704549104         50         566 SH       DEFINED        4         --         --      566
PEABODY ENERGY CORP      EQUITY 704549104         23         262 SH       DEFINED        5         --         --      262
PEAPACK-GLADSTONE FINL   EQUITY 704699107        165       7,519 SH       SOLE           1      7,519         --       --
PEARSON PLC              EQUITY 705015105          2         180 SH       DEFINED        4         --         --      180
PEDIATRIX MED GROUP      EQUITY 705324101        453       9,195 SH       SOLE           2      9,195         --       --
PEDIATRIX MEDICAL GROUP  EQUITY 705324101         57       1,155 SH       SOLE           1      1,155         --       --
PEERLESS MANUFACTURING
   CO                    EQUITY 705514107        275       5,874 SH       SOLE           1      5,874         --       --
PEERLESS MFG CO          EQUITY 705514107         19         400 SH       DEFINED        5         --         --      400
PEETS COFFEE & TEA INC   EQUITY 705560100        251      12,652 SH       SOLE           1     12,652         --       --
PEETS COFFEE & TEA INC   EQUITY 705560100        305      15,400 SH       DEFINED        5         --         --   15,400
PEGASYSTEMS INC          EQUITY 705573103        176      13,063 SH       SOLE           1     13,063         --       --
PENFORD CORP             EQUITY 707051108        151      10,174 SH       SOLE           1     10,174         --       --
PENGROWTH ENERGY TR      EQUITY 706902509        271      13,457 SH       DEFINED        4         --         --   13,457
PENGROWTH ENERGY TR      EQUITY 706902509        369      18,353 SH       DEFINED        5         --         --   18,353
PENGROWTH ENERGY TRUST   EQUITY 706902509      1,187      58,728 SH       OTHER          1         --     58,728       --
PENN NATIONAL GAMING,
   INC.                  EQUITY 707569109         55       1,707 SH       SOLE           1      1,707         --       --
PENN VA CORP             EQUITY 707882106        566       7,500 SH       SOLE           2      7,500         --       --
PENN VA RESOURCES
   PARTNERS L            EQUITY 707884102          3         100 SH       DEFINED        4         --         --      100
PENN VIRGINIA
   CORPORATION           EQUITY 707882106      2,841      37,673 SH       SOLE           1     37,673         --       --
PENN WEST ENERGY TR      EQUITY 707885109        634      18,722 SH       DEFINED        4         --         --   18,722
PENN WEST ENERGY TR      EQUITY 707885109        287       8,486 SH       DEFINED        5         --         --    8,486
PENN WEST ENERGY TRUST   EQUITY 707885109        554      16,306 SH       OTHER          1         --     16,306       --
PENNANTPARK INVESTMENT
   CORP                  EQUITY 708062104        138      19,086 SH       SOLE           1     19,086         --       --
PENNEY J C INC           EQUITY 708160106          9         252 SH       SOLE           2        252         --       --
PENNEY J C INC           EQUITY 708160106         46       1,254 SH       DEFINED        5         --         --    1,254
PENNSYLVANIA COMMERCE
   BANCRP                EQUITY 708677109        113       4,692 SH       SOLE           1      4,692         --       --





                                                                                
PENNSYLVANIA RL ESTATE
   INVT                  EQUITY 709102107          3         150 SH       DEFINED        5         --         --      150
PENSKE AUTO GROUP INC    EQUITY 70959W103         20       1,349 SH       SOLE           1      1,349         --       --
PENSON WORLDWIDE INC     EQUITY 709600100        182      15,228 SH       SOLE           1     15,228         --       --
PENSON WORLDWIDE INC     EQUITY 709600100          6         500 SH       DEFINED        5         --         --      500
PENTAIR INC              EQUITY 709631105         12         349 SH       DEFINED        5         --         --      349
PENTAIR INC.             EQUITY 709631105      8,138     232,383 SH       SOLE           1    232,383         --       --
PEOPLES BANCORP INC      EQUITY 709789101        177       9,330 SH       SOLE           1      9,330         --       --
PEOPLES UNITED
   FINANCIAL INC         EQUITY 712704105         28       1,826 SH       DEFINED        4         --         --    1,826
PEOPLE'S UNITED
   FINANCIAL INC         EQUITY 712704105        179      11,463 SH       SOLE           1     11,463         --       --
PEOPLES UTD FINL INC     EQUITY 712704105      2,221     142,400 SH       SOLE           2    142,400         --       --
PEOPLESUPPORT INC        EQUITY 712714302        163      19,162 SH       SOLE           1     19,162         --       --
PEOPLESUPPORT INC        EQUITY 712714302         14       1,606 SH       DEFINED        4         --         --    1,606
PEP BOYS-MANNY, MOE &
   JACK                  EQUITY 713278109        333      38,223 SH       SOLE           1     38,223         --       --
PEPCO HLDGS INC          EQUITY 713291102          6         229 SH       SOLE           2        229         --       --
PEPCO HOLDINGS INC       EQUITY 713291102      7,008     273,209 SH       SOLE           1    273,209         --       --
PEPCO HOLDINGS INC       EQUITY 713291102         32       1,264 SH       DEFINED        4         --         --    1,264
PEPSI BOTTLING           EQUITY 713409100      7,885     282,414 SH       SOLE           1    282,414         --       --
PEPSI BOTTLING GROUP INC EQUITY 713409100        129       4,604 SH       SOLE           2      4,604         --       --
PEPSI BOTTLING GROUP INC EQUITY 713409100          6         200 SH       DEFINED        5         --         --      200
PEPSIAMERICAS INC        EQUITY 71343P200      2,726     137,821 SH       SOLE           1    137,821         --       --
PEPSIAMERICAS INC        EQUITY 71343P200         70       3,550 SH       SOLE           2      3,550         --       --
PEPSIAMERICAS INC        EQUITY 71343P200         20       1,000 SH       DEFINED        4         --         --    1,000
PEPSICO INC              EQUITY 713448108     28,805     452,975 SH       SOLE           2    452,975         --       --
PEPSICO INC              EQUITY 713448108        264       4,158 SH       DEFINED        4         --         --    4,158
PEPSICO INC              EQUITY 713448108        300       4,712 SH       DEFINED        5         --         --    4,712
PEPSICO, INC.            EQUITY 713448108     55,252     868,880 SH       SOLE           1    868,880         --       --
PERDIGAO S A             EQUITY 71361V303         16         300 SH       DEFINED        5         --         --      300
PERFECT WORLD CO LTD     EQUITY 71372U104      1,287      51,500 SH       SOLE           1     51,500         --       --
PERFECT WORLD CO LTD
   SPON ADR              EQUITY 71372U104        642      25,700 SH       SOLE           3      25700         --       --
PERFICIENT INC           EQUITY 71375U101        280      28,962 SH       SOLE           1     28,962         --       --
PERFICIENT INC COM       EQUITY 71375U101      2,323     240,500 SH       SOLE           3     240500         --       --
PERICOM SEMICONDUCTOR
   COM                   EQUITY 713831105      1,864     125,600 SH       SOLE           3     125600         --       --
PERICOM SEMICONDUCTOR
   CORP                  EQUITY 713831105      1,282      86,384 SH       SOLE           1     86,384         --       --
PERINI CORP              EQUITY 713839108        813      24,607 SH       SOLE           1     24,607         --       --
PERKINELMER INC          EQUITY 714046109          4         135 SH       SOLE           2        135         --       --
PERKINELMER INC.         EQUITY 714046109      1,428      51,282 SH       SOLE           1     51,282         --       --
PERMA-FIX ENVIRONMENTAL
   SVCS                  EQUITY 714157104         43      15,000 SH       DEFINED        4         --         --   15,000
PERMIAN BASIN RTY TR     EQUITY 714236106        431      16,301 SH       DEFINED        4         --         --   16,301
PERMIAN BASIN RTY TR     EQUITY 714236106         79       3,010 SH       DEFINED        5         --         --    3,010
PEROT SYSTEM CORP.       EQUITY 714265105      1,176      78,338 SH       SOLE           1     78,338         --       --
PERRIGO CO               EQUITY 714290103        737      23,200 SH       SOLE           2     23,200         --       --
PERRIGO CO.              EQUITY 714290103      5,757     181,193 SH       SOLE           1    181,193         --       --
PERRY ELLIS
   INTERNATIONAL         EQUITY 288853104        220      10,355 SH       SOLE           1     10,355         --       --
PETMED EXPRESS INC       EQUITY 716382106        263      21,498 SH       SOLE           1     21,498         --       --
PETMED EXPRESS INC       EQUITY 716382106          2         200 SH       DEFINED        5         --         --      200
PETROBRAS ENERGIA
   PARTCPTNS             EQUITY 71646M102          9         760 SH       DEFINED        5         --         --      760
PETRO-CANADA             EQUITY 7.1644E+106    9,419     168,315 SH       OTHER          1         --    168,315       --
PETRO-CDA                EQUITY 7.1644E+106        3          60 SH       DEFINED        5         --         --       60
PETROCHINA CO LTD        EQUITY 7.1646E+104        8          60 SH       DEFINED        5         --         --       60
PETROHAWK ENERGY CORP    EQUITY 716495106        238       5,144 SH       SOLE           1      5,144         --       --
PETROHAWK ENERGY CORP    EQUITY 716495106         56       1,200 SH       DEFINED        5         --         --    1,200
PETROLEO BRASILEIRO
   S.A. ADR              EQUITY 71654V408    277,187   3,913,410 SH       SOLE           1  3,913,410         --       --





                                                                                
PETROLEO BRASILEIRO SA   EQUITY 71654V101     16,387     282,776 SH       SOLE           1    282,776         --       --
PETROLEO BRASILEIRO SA
   PETRO                 EQUITY 71654V408        188       2,656 SH       DEFINED        4         --         --    2,656
PETROLEO BRASILEIRO SA
   PETRO                 EQUITY 71654V101          2          42 SH       DEFINED        4         --         --       42
PETROLEO BRASILEIRO SA
   PETRO                 EQUITY 71654V408        283       4,000 SH       DEFINED        5         --         --    4,000
PETROLEUM DEV CORP       EQUITY 716578109        366       5,500 SH       SOLE           2      5,500         --       --
PETROLEUM DEVELOPMENT
   CORP                  EQUITY 716578109        894      13,451 SH       SOLE           1     13,451         --       --
PETROQUEST ENERGY INC    EQUITY 716748108      1,057      39,289 SH       SOLE           1     39,289         --       --
PETROQUEST ENERGY INC    EQUITY 716748108      2,556      95,000 SH       SOLE           2     95,000         --       --
PETROQUEST ENERGY INC    EQUITY 716748108         13         500 SH       DEFINED        5         --         --      500
PETSMART, INC            EQUITY 716768106      6,066     304,065 SH       SOLE           1    304,065         --       --
PFIZER INC               EQUITY 717081103     19,410   1,111,065 SH       SOLE           2  1,111,065         --       --
PFIZER INC               EQUITY 717081103        364      20,814 SH       DEFINED        4         --         --   20,814
PFIZER INC               EQUITY 717081103        872      49,940 SH       DEFINED        5         --         --   49,940
PFIZER INC CALL          EQUITY 717081903         13         100     CALL DEFINED        5         --         --      100
PFIZER, INC.             EQUITY 717081103     76,470   4,377,205 SH       SOLE           1  4,377,205         --       --
PG&E CORP                EQUITY 69331C108         35         885 SH       DEFINED        4         --         --      885
PG+E CORP                EQUITY 69331C108        980      24,698 SH       SOLE           2     24,698         --       --
PHARMACEUTICAL HLDRS TR  EQUITY 71712A206          7         100 SH       DEFINED        5         --         --      100
PHARMACEUTICAL PROD DEV
   INC                   EQUITY 717124101          7         158 SH       DEFINED        5         --         --      158
PHARMACEUTICAL PRODUCT
   DEVELOPMENT           EQUITY 717124101     10,543     245,759 SH       SOLE           1    245,759         --       --
PHARMANET DEVELOPMENT
   GROUP INC             EQUITY 717148100        276      17,507 SH       SOLE           1     17,507         --       --
PHARMASSET INC           EQUITY 71715N106        268      14,176 SH       SOLE           1     14,176         --       --
PHARMERICA CORP          EQUITY 71714F104        622      27,554 SH       SOLE           1     27,554         --       --
PHARMERICA CORP          EQUITY 71714F104        858      38,000 SH       SOLE           2     38,000         --       --
PHASE FORWARD INC        EQUITY 71721R406        696      38,757 SH       SOLE           1     38,757         --       --
PHH CORP                 EQUITY 693320202        753      49,042 SH       SOLE           1     49,042         --       --
PHI INC                  EQUITY 69336T205        496      12,356 SH       SOLE           1     12,356         --       --
PHILADELPHIA CONS HLDG
   CORP                  EQUITY 717528103          9         252 SH       DEFINED        4         --         --      252
PHILADELPHIA CONS.
   HLDG. CO.             EQUITY 717528103         58       1,693 SH       SOLE           1      1,693         --       --
PHILIP MORRIS
   INTERNATIONAL INC     EQUITY 718172109     55,552   1,124,770 SH       SOLE           1  1,124,770         --       --
PHILIP MORRIS INTL INC   EQUITY 718172109        324       6,557 SH       DEFINED        4         --         --    6,557
PHILIP MORRIS INTL INC   EQUITY 718172109        414       8,379 SH       DEFINED        5         --         --    8,379
PHILIP MORRIS INTL ORD
   SHR                   EQUITY 718172109     20,089     406,748 SH       SOLE           2    406,748         --       --
PHILLIPS-VAN HEUSEN
   CORP.                 EQUITY 718592108      4,389     119,847 SH       SOLE           1    119,847         --       --
PHOENIX COMPANIES INC    EQUITY 7.1902E+113      789     103,633 SH       SOLE           1    103,633         --       --
PHOENIX TECHNOLOGIES,
   LTD.                  EQUITY 719153108        274      24,923 SH       SOLE           1     24,923         --       --
PHOENIX TECHNOLOGY LTD
   COM                   EQUITY 719153108      1,280     116,400 SH       SOLE           3     116400         --       --
PHOTON DYNAMICS          EQUITY 719364101        243      16,083 SH       SOLE           1     16,083         --       --
PHOTRONICS INC           EQUITY 719405102      1,630     231,500 SH       SOLE           2    231,500         --       --
PHOTRONICS INC.          EQUITY 719405102        267      37,944 SH       SOLE           1     37,944         --       --
PICO HOLDINGS INC        EQUITY 693366205        637      14,656 SH       SOLE           1     14,656         --       --
PIEDMONT NAT GAS INC     EQUITY 720186105          3         120 SH       DEFINED        4         --         --      120
PIEDMONT NAT GAS INC     EQUITY 720186105          2          77 SH       DEFINED        5         --         --       77
PIEDMONT NATURAL GAS
   CO., INC.             EQUITY 720186105      7,978     304,954 SH       SOLE           1    304,954         --       --
PIER 1 IMPORTS INC       EQUITY 720279108         16       4,700 SH       DEFINED        5         --         --    4,700
PIER 1 IMPORTS, INC.     EQUITY 720279108        277      80,657 SH       SOLE           1     80,657         --       --
PIKE ELECTRIC CORP       EQUITY 721283109        254      15,318 SH       SOLE           1     15,318         --       --
PILGRIMS PRIDE CORP      EQUITY 721467108         80       6,125 SH       DEFINED        4         --         --    6,125
PILGRIMS PRIDE CORP CALL EQUITY 721467908          2          10     CALL DEFINED        4         --         --       10
PILGRIMS PRIDE CORP.     EQUITY 721467108        531      40,855 SH       SOLE           1     40,855         --       --
PIMCO CORPORATE INCOME
   FD                    EQUITY 72200U100          8         565 SH       DEFINED        4         --         --      565
PIMCO CORPORATE INCOME
   FD                    EQUITY 72200U100        227      16,100 SH       DEFINED        5         --         --   16,100





                                                                                
PIMCO CORPORATE OPP FD   EQUITY 72201B101        112       8,097 SH       DEFINED        4         --         --    8,097
PIMCO CORPORATE OPP FD   EQUITY 72201B101        141      10,193 SH       DEFINED        5         --         --   10,193
PIMCO FLOATING RATE
   INCOME F              EQUITY 72201H108         35       2,420 SH       DEFINED        4         --         --    2,420
PIMCO FLOATING RATE
   INCOME F              EQUITY 72201H108         31       2,155 SH       DEFINED        5         --         --    2,155
PIMCO FLOATING RATE
   STRTGY F              EQUITY 72201J104         26       2,000 SH       DEFINED        4         --         --    2,000
PIMCO FLOATING RATE
   STRTGY F              EQUITY 72201J104          7         500 SH       DEFINED        5         --         --      500
PIMCO GLOBAL STOCKSPLS
   INCM                  EQUITY 722011103          8         400 SH       DEFINED        5         --         --      400
PIMCO HIGH INCOME FD     EQUITY 722014107        210      17,538 SH       DEFINED        4         --         --   17,538
PIMCO HIGH INCOME FD     EQUITY 722014107        111       9,285 SH       DEFINED        5         --         --    9,285
PIMCO STRATEGIC GBL GOV
   FD I                  EQUITY 72200X104         32       3,306 SH       DEFINED        4         --         --    3,306
PIMCO STRATEGIC GBL GOV
   FD I                  EQUITY 72200X104         10       1,000 SH       DEFINED        5         --         --    1,000
PINNACLE FINANCIAL
   PARTNERS              EQUITY 72346Q104        411      20,469 SH       SOLE           1     20,469         --       --
PINNACLE WEST CAP CORP   EQUITY 723484101          4         114 SH       SOLE           2        114         --       --
PINNACLE WEST CAP CORP   EQUITY 723484101          5         165 SH       DEFINED        5         --         --      165
PINNACLE WEST CAPITAL
   CORP.                 EQUITY 723484101      9,751     316,908 SH       SOLE           1    316,908         --       --
PIONEER DRILLING CO      EQUITY 723655106          4         200 SH       DEFINED        4         --         --      200
PIONEER DRILLING CO COM  EQUITY 723655106      2,383     126,700 SH       SOLE           3     126700         --       --
PIONEER DRILLING COMPANY EQUITY 723655106      1,936     102,903 SH       SOLE           1    102,903         --       --
PIONEER FLOATING RATE TR EQUITY 72369J102         10         720 SH       DEFINED        4         --         --      720
PIONEER HIGH INCOME TR   EQUITY 72369H106          7         487 SH       DEFINED        4         --         --      487
PIONEER HIGH INCOME TR   EQUITY 72369H106        146      10,472 SH       DEFINED        5         --         --   10,472
PIONEER MUN & EQUITY
   INCOME                EQUITY 723761102          4         361 SH       DEFINED        5         --         --      361
PIONEER MUN HIGH INCOME
   TR                    EQUITY 723763108         67       5,000 SH       DEFINED        5         --         --    5,000
PIONEER NAT RES CO       EQUITY 723787107          4          54 SH       DEFINED        4         --         --       54
PIONEER NATURAL
   RESOURCES CORP        EQUITY 723787107     21,939     280,261 SH       SOLE           1    280,261         --       --
PIPER JAFFRAY COS        EQUITY 724078100        498      16,968 SH       SOLE           1     16,968         --       --
PITNEY BOWES INC         EQUITY 724479100        158       4,636 SH       SOLE           2      4,636         --       --
PITNEY BOWES, INC.       EQUITY 724479100     13,188     386,742 SH       SOLE           1    386,742         --       --
PLAINS ALL AMERN
   PIPELINE L            EQUITY 726503105        131       2,900 SH       DEFINED        4         --         --    2,900
PLAINS ALL AMERN
   PIPELINE L            EQUITY 726503105          9         200 SH       DEFINED        5         --         --      200
PLAINS EXPL& PRODTN CO   EQUITY 726505100          1          16 SH       DEFINED        4         --         --       16
PLAINS EXPLORATION &
   PRODUCT               EQUITY 726505100     18,313     250,970 SH       SOLE           1    250,970         --       --
PLANTRONICS, INC.        EQUITY 727493108      3,516     157,532 SH       SOLE           1    157,532         --       --
PLAYBOY ENTERPRISES,
   INC.                  EQUITY 728117300         95      19,320 SH       SOLE           1     19,320         --       --
PLEXUS CORP.             EQUITY 729132100      1,063      38,411 SH       SOLE           1     38,411         --       --
PLUG POWER INC           EQUITY 72919P103        171      72,574 SH       SOLE           1     72,574         --       --
PLUM CREEK TIMBER CO INC EQUITY 729251108     10,000     234,132 SH       SOLE           1    234,132         --       --
PLUM CREEK TIMBER CO INC EQUITY 729251108          8         195 SH       SOLE           2        195         --       --
PLUM CREEK TIMBER CO INC EQUITY 729251108         60       1,412 SH       DEFINED        4         --         --    1,412
PLUM CREEK TIMBER CO INC EQUITY 729251108        253       5,923 SH       DEFINED        5         --         --    5,923
PLX TECHNOLOGY, INC.     EQUITY 693417107        195      25,497 SH       SOLE           1     25,497         --       --
PMA CAPITAL CORP.        EQUITY 693419202        265      28,781 SH       SOLE           1     28,781         --       --
PMC-SIERRA, INC.         EQUITY 69344F106      1,514     198,110 SH       SOLE           1    198,110         --       --
PMI GROUP, INC.          EQUITY 69344M101        529     271,370 SH       SOLE           1    271,370         --       --
PNC FINANCIAL SERVICES   EQUITY 693475105      9,636     168,753 SH       SOLE           1    168,753         --       --
PNC FINL SVCS GROUP INC  EQUITY 693475105      1,140      19,963 SH       SOLE           2     19,963         --       --
PNC FINL SVCS GROUP INC  EQUITY 693475105         66       1,150 SH       DEFINED        4         --         --    1,150
PNC FINL SVCS GROUP INC  EQUITY 693475105          6         108 SH       DEFINED        5         --         --      108
PNM RESOURCES INC        EQUITY 69349H107      3,221     269,289 SH       SOLE           1    269,289         --       --
POKERTEK INC             EQUITY 730864105          3         700 SH       DEFINED        5         --         --      700
POLARIS INDS INC         EQUITY 731068102         43       1,060 SH       DEFINED        5         --         --    1,060
POLARIS INDUSTRIES, INC. EQUITY 731068102      1,205      29,852 SH       SOLE           1     29,852         --       --





                                                                                
POLO RALPH LAUREN CO     EQUITY 731572103      3,710      59,095 SH       SOLE           1     59,095         --       --
POLO RALPH LAUREN CORP   EQUITY 731572103        186       2,966 SH       SOLE           2      2,966         --       --
POLO RALPH LAUREN CORP   EQUITY 731572103         11         183 SH       DEFINED        5         --         --      183
POLYCOM, INC.            EQUITY 73172K104      6,860     281,605 SH       SOLE           1    281,605         --       --
POLYMET MINING CORP      EQUITY 731916102          1         300 SH       DEFINED        5         --         --      300
POLYONE CORPORATION      EQUITY 73179P106        589      84,495 SH       SOLE           1     84,495         --       --
POLYPORE INTERNATIONAL
   INC                   EQUITY 73179V103        366      14,432 SH       SOLE           1     14,432         --       --
POOL CORP                EQUITY 73278L105        769      43,315 SH       SOLE           1     43,315         --       --
POOL CORP                EQUITY 73278L105        622      35,000 SH       SOLE           2     35,000         --       --
POPULAR INC              EQUITY 733174106         61       9,311 SH       SOLE           1      9,311         --       --
PORTFOLIO RECOVERY ASS
   COM                   EQUITY 73640Q105      1,177      31,400 SH       SOLE           3      31400         --       --
PORTFOLIO RECOVERY
   ASSOCIATE             EQUITY 73640Q105      1,138      30,354 SH       SOLE           1     30,354         --       --
PORTLAND GENERAL
   ELECTRIC CO           EQUITY 736508847      1,276      56,647 SH       SOLE           1     56,647         --       --
POSCO                    EQUITY 693483109         15         117 SH       DEFINED        4         --         --      117
POST PROPERTIES, INC.    EQUITY 737464107      1,189      39,960 SH       SOLE           1     39,960         --       --
POTASH CORP OF
   SASKATCHEWAN          EQUITY 73755L107     18,393      79,839 SH       OTHER          1         --     79,839       --
POTASH CORP SASK INC     EQUITY 73755L107      1,143       5,000 SH       SOLE           2      5,000         --       --
POTASH CORP SASK INC     EQUITY 73755L107      1,453       6,356 SH       DEFINED        4         --         --    6,356
POTASH CORP SASK INC     EQUITY 73755L107        140         612 SH       DEFINED        5         --         --      612
POTLATCH CORP NEW        EQUITY 737630103         18         400 SH       DEFINED        5         --         --      400
POWELL INDUSTRIES INC    EQUITY 739128106        338       6,707 SH       SOLE           1      6,707         --       --
POWER INTEGRATIONS, INC. EQUITY 739276103        871      27,539 SH       SOLE           1     27,539         --       --
POWER-ONE , INC.         EQUITY 739308104        128      67,585 SH       SOLE           1     67,585         --       --
POWERSECURE
   INTERNATIONAL INC     EQUITY 73936N105        111      15,326 SH       SOLE           1     15,326         --       --
POWERSECURE INTL INC     EQUITY 73936N105        638      87,827 SH       SOLE           2     87,827         --       --
POWERSHARES ACTIVE MNG
   ETF T                 EQUITY 73935B201         39       1,493 SH       DEFINED        5         --         --    1,493
POWERSHARES DB CMDTY
   IDX TRA               EQUITY 73935S105         92       2,063 SH       DEFINED        4         --         --    2,063
POWERSHARES DB CMDTY
   IDX TRA               EQUITY 73935S105      1,076      24,036 SH       DEFINED        5         --         --   24,036
POWERSHARES DB G10
   CURCY HAR             EQUITY 73935Y102        313      11,585 SH       DEFINED        4         --         --   11,585
POWERSHARES DB G10
   CURCY HAR             EQUITY 73935Y102          4         147 SH       DEFINED        5         --         --      147
POWERSHARES ETF TR II    EQUITY 73937B100         40       1,450 SH       DEFINED        4         --         --    1,450
POWERSHARES ETF TRUST    EQUITY 73935X500      2,051     104,936 SH       DEFINED        4         --         --  104,936
POWERSHARES ETF TRUST    EQUITY 73935X468      1,819      75,099 SH       DEFINED        4         --         --   75,099
POWERSHARES ETF TRUST    EQUITY 73935X161        995      33,980 SH       DEFINED        4         --         --   33,980
POWERSHARES ETF TRUST    EQUITY 73935X807        707      32,418 SH       DEFINED        4         --         --   32,418
POWERSHARES ETF TRUST    EQUITY 73935X682        338      19,930 SH       DEFINED        4         --         --   19,930
POWERSHARES ETF TRUST    EQUITY 73935X575        331      15,980 SH       DEFINED        4         --         --   15,980
POWERSHARES ETF TRUST    EQUITY 73935X781        165      10,440 SH       DEFINED        4         --         --   10,440
POWERSHARES ETF TRUST    EQUITY 73935X351        187       7,460 SH       DEFINED        4         --         --    7,460
POWERSHARES ETF TRUST    EQUITY 73935X856        106       6,166 SH       DEFINED        4         --         --    6,166
POWERSHARES ETF TRUST    EQUITY 73935X567        290       6,142 SH       DEFINED        4         --         --    6,142
POWERSHARES ETF TRUST    EQUITY 73935X625        174       5,200 SH       DEFINED        4         --         --    5,200
POWERSHARES ETF TRUST    EQUITY 73935X732         44       3,046 SH       DEFINED        4         --         --    3,046
POWERSHARES ETF TRUST    EQUITY 73935X716         41       2,324 SH       DEFINED        4         --         --    2,324
POWERSHARES ETF TRUST    EQUITY 73935X690         37       2,001 SH       DEFINED        4         --         --    2,001
POWERSHARES ETF TRUST    EQUITY 73935X674         42       1,897 SH       DEFINED        4         --         --    1,897
POWERSHARES ETF TRUST    EQUITY 73935X658         48       1,537 SH       DEFINED        4         --         --    1,537
POWERSHARES ETF TRUST    EQUITY 73935X609         22       1,270 SH       DEFINED        4         --         --    1,270
POWERSHARES ETF TRUST    EQUITY 73935X583         60       1,240 SH       DEFINED        4         --         --    1,240
POWERSHARES ETF TRUST    EQUITY 73935X393         18         741 SH       DEFINED        4         --         --      741
POWERSHARES ETF TRUST    EQUITY 73935X104         28         610 SH       DEFINED        4         --         --      610
POWERSHARES ETF TRUST    EQUITY 73935X773          8         450 SH       DEFINED        4         --         --      450





                                                                                
POWERSHARES ETF TRUST    EQUITY 73935X484         21         410 SH       DEFINED        4         --         --      410
POWERSHARES ETF TRUST    EQUITY 73935X278          3         100 SH       DEFINED        4         --         --      100
POWERSHARES ETF TRUST    EQUITY 73935X385          3          72 SH       DEFINED        4         --         --       72
POWERSHARES ETF TRUST    EQUITY 73935X153        458      17,739 SH       DEFINED        5         --         --   17,739
POWERSHARES ETF TRUST    EQUITY 73935X575        219      10,580 SH       DEFINED        5         --         --   10,580
POWERSHARES ETF TRUST    EQUITY 73935X500        140       7,175 SH       DEFINED        5         --         --    7,175
POWERSHARES ETF TRUST    EQUITY 73935X336         76       4,600 SH       DEFINED        5         --         --    4,600
POWERSHARES ETF TRUST    EQUITY 73935X278        149       4,500 SH       DEFINED        5         --         --    4,500
POWERSHARES ETF TRUST    EQUITY 73935X625        137       4,071 SH       DEFINED        5         --         --    4,071
POWERSHARES ETF TRUST    EQUITY 73935X880         55       3,507 SH       DEFINED        5         --         --    3,507
POWERSHARES ETF TRUST    EQUITY 73935X807         71       3,268 SH       DEFINED        5         --         --    3,268
POWERSHARES ETF TRUST    EQUITY 73935X609         34       2,031 SH       DEFINED        5         --         --    2,031
POWERSHARES ETF TRUST    EQUITY 73935X401         41       1,653 SH       DEFINED        5         --         --    1,653
POWERSHARES ETF TRUST    EQUITY 73935X633         19       1,400 SH       DEFINED        5         --         --    1,400
POWERSHARES ETF TRUST    EQUITY 73935X302         10       1,154 SH       DEFINED        5         --         --    1,154
POWERSHARES ETF TRUST    EQUITY 73935X732         14       1,000 SH       DEFINED        5         --         --    1,000
POWERSHARES ETF TRUST    EQUITY 73935X104         44         966 SH       DEFINED        5         --         --      966
POWERSHARES ETF TRUST    EQUITY 73935X708         13         753 SH       DEFINED        5         --         --      753
POWERSHARES ETF TRUST    EQUITY 73935X682         11         642 SH       DEFINED        5         --         --      642
POWERSHARES ETF TRUST    EQUITY 73935X716         10         600 SH       DEFINED        5         --         --      600
POWERSHARES ETF TRUST    EQUITY 73935X690         10         540 SH       DEFINED        5         --         --      540
POWERSHARES ETF TRUST    EQUITY 73935X237         15         500 SH       DEFINED        5         --         --      500
POWERSHARES ETF TRUST    EQUITY 73935X781          8         500 SH       DEFINED        5         --         --      500
POWERSHARES ETF TRUST    EQUITY 73935X179         12         435 SH       DEFINED        5         --         --      435
POWERSHARES ETF TRUST    EQUITY 73935X450          9         378 SH       DEFINED        5         --         --      378
POWERSHARES ETF TRUST    EQUITY 73935X856          5         300 SH       DEFINED        5         --         --      300
POWERSHARES ETF TRUST    EQUITY 73935X591          5         277 SH       DEFINED        5         --         --      277
POWERSHARES ETF TRUST    EQUITY 73935X674          5         215 SH       DEFINED        5         --         --      215
POWERSHARES ETF TRUST    EQUITY 73935X658          3         100 SH       DEFINED        5         --         --      100
POWERSHARES ETF TRUST II EQUITY 73936Q207         31       1,450 SH       DEFINED        5         --         --    1,450
POWERSHARES ETF TRUST II EQUITY 73936Q108         10         400 SH       DEFINED        5         --         --      400
POWERSHARES GLOBAL ETF
   TRUST                 EQUITY 73936T623        481      22,350 SH       DEFINED        4         --         --   22,350
POWERSHARES GLOBAL ETF
   TRUST                 EQUITY 73936T573         27       1,090 SH       DEFINED        4         --         --    1,090
POWERSHARES GLOBAL ETF
   TRUST                 EQUITY 73936T615          9         340 SH       DEFINED        4         --         --      340
POWERSHARES GLOBAL ETF
   TRUST                 EQUITY 73936T698         15         330 SH       DEFINED        4         --         --      330
POWERSHARES GLOBAL ETF
   TRUST                 EQUITY 73936T805          3         135 SH       DEFINED        4         --         --      135
POWERSHARES GLOBAL ETF
   TRUST                 EQUITY 73936T615        112       4,100 SH       DEFINED        5         --         --    4,100
POWERSHARES GLOBAL ETF
   TRUST                 EQUITY 73936T425         29       1,493 SH       DEFINED        5         --         --    1,493
POWERSHARES GLOBAL ETF
   TRUST                 EQUITY 73936T623         17         778 SH       DEFINED        5         --         --      778
POWERSHARES GLOBAL ETF
   TRUST                 EQUITY 73936T573         10         400 SH       DEFINED        5         --         --      400
POWERSHARES INDIA ETF TR EQUITY 73935L100         31       1,598 SH       DEFINED        5         --         --    1,598
POWERSHARES QQQ          EQUITY 73935A104      9,520     210,760 SH       SOLE           1    210,760         --       --
POWERSHARES QQQ TRUST    EQUITY 73935A104      4,033      89,288 SH       DEFINED        4         --         --   89,288
POWERSHARES QQQ TRUST    EQUITY 73935A104        753      16,661 SH       DEFINED        5         --         --   16,661
POWERSHARES QQQ TRUST
   CALL                  EQUITY 73935A904          3          25     CALL DEFINED        4         --         --       25
POWERSHS DB MULTI SECT
   COMM                  EQUITY 73936B408      1,839      45,208 SH       DEFINED        4         --         --   45,208
POWERSHS DB MULTI SECT
   COMM                  EQUITY 73936B507        542      10,241 SH       DEFINED        4         --         --   10,241
POWERSHS DB MULTI SECT
   COMM                  EQUITY 73936B101        168       3,086 SH       DEFINED        4         --         --    3,086
POWERSHS DB MULTI SECT
   COMM                  EQUITY 73936B408        168       4,135 SH       DEFINED        5         --         --    4,135
POWERSHS DB MULTI SECT
   COMM                  EQUITY 73936B200         32         949 SH       DEFINED        5         --         --      949
POWERSHS DB MULTI SECT
   COMM                  EQUITY 73936B606         17         500 SH       DEFINED        5         --         --      500
POWERSHS DB MULTI SECT
   COMM                  EQUITY 73936B101         13         235 SH       DEFINED        5         --         --      235





                                                                                
POWERSHS DB MULTI SECT
   COMM                  EQUITY 73936B705          3         100 SH       DEFINED        5         --         --      100
POWERSHS DB US DOLLAR
   INDEX                 EQUITY 73936D107         27       1,200 SH       DEFINED        5         --         --    1,200
POWERWAVE TECHNOLOGIES
   INC                   EQUITY 739363109        506     119,033 SH       SOLE           1    119,033         --       --
POWERWAVE TECHNOLOGIES
   INC                   EQUITY 739363109         13       3,000 SH       DEFINED        4         --         --    3,000
POWERWAVE TECHNOLOGIES
   INC                   EQUITY 739363109          3         777 SH       DEFINED        5         --         --      777
POZEN INC.               EQUITY 73941U102        257      23,592 SH       SOLE           1     23,592         --       --
PPG INDS INC             EQUITY 693506107         11         187 SH       SOLE           2        187         --       --
PPG INDS INC             EQUITY 693506107         35         602 SH       DEFINED        4         --         --      602
PPG INDUSTRIES, INC.     EQUITY 693506107     17,076     297,639 SH       SOLE           1    297,639         --       --
PPL CORP                 EQUITY 69351T106         22         424 SH       SOLE           2        424         --       --
PPL CORP                 EQUITY 69351T106        367       7,016 SH       DEFINED        4         --         --    7,016
PPL CORP                 EQUITY 69351T106         52       1,000 SH       DEFINED        5         --         --    1,000
PPL CORPORATION          EQUITY 69351T106      8,408     160,850 SH       SOLE           1    160,850         --       --
PRAXAIR INC              EQUITY 74005P104      1,892      20,076 SH       SOLE           2     20,076         --       --
PRAXAIR INC              EQUITY 74005P104         66         705 SH       DEFINED        4         --         --      705
PRAXAIR INC              EQUITY 74005P104        177       1,874 SH       DEFINED        5         --         --    1,874
PRAXAIR, INC.            EQUITY 74005P104     26,845     284,854 SH       SOLE           1    284,854         --       --
PRECISION CASTPARTS CORP EQUITY 740189105         15         158 SH       SOLE           2        158         --       --
PRECISION CASTPARTS CORP EQUITY 740189105         87         899 SH       DEFINED        4         --         --      899
PRECISION CASTPARTS CORP EQUITY 740189105          3          33 SH       DEFINED        5         --         --       33
PRECISION CASTPARTS
   CORP.                 EQUITY 740189105     17,310     179,619 SH       SOLE           1    179,619         --       --
PRECISION DRILLING TRUST EQUITY 740215108        414      15,290 SH       OTHER          1         --     15,290       --
PREFORMED LINE PRODUCTS
   CO                    EQUITY 740444104         99       2,446 SH       SOLE           1      2,446         --       --
PREMIERE GLOBAL
   SERVICES INC          EQUITY 740585104        817      56,031 SH       SOLE           1     56,031         --       --
PREMIERWEST BANCORP      EQUITY 740921101        102      17,537 SH       SOLE           1     17,537         --       --
PREPAID LEGAL SERVICES,
   INC.                  EQUITY 740065107        294       7,237 SH       SOLE           1      7,237         --       --
PRESIDENTIAL LIFE CORP.  EQUITY 740884101        303      19,624 SH       SOLE           1     19,624         --       --
PRESSTEK INC             EQUITY 741113104        124      24,988 SH       SOLE           1     24,988         --       --
PRESSTEK INC             EQUITY 741113104         50      10,000 SH       DEFINED        5         --         --   10,000
PRESTIGE BRANDS
   HOLDINGS INC          EQUITY 74112D101        326      30,575 SH       SOLE           1     30,575         --       --
PRG-SCHULTZ
   INTERNATIONAL INC     EQUITY 69357C503        128      13,579 SH       SOLE           1     13,579         --       --
PRICE T ROWE GROUP INC   EQUITY 74144T108         17         295 SH       SOLE           2        295         --       --
PRICE T ROWE GROUP INC   EQUITY 74144T108        133       2,361 SH       DEFINED        4         --         --    2,361
PRICELINE COM INC        EQUITY 741503403        179       1,550 SH       SOLE           2      1,550         --       --
PRICELINE.COM INC        EQUITY 741503403        102         887 SH       SOLE           1        887         --       --
PRICESMART INC           EQUITY 741511109        259      13,069 SH       SOLE           1     13,069         --       --
PRIDE INTERNATIONAL      EQUITY 74153Q102     22,526     476,341 SH       SOLE           1    476,341         --       --
PRIDE INTL INC DEL       EQUITY 74153Q102        271       5,722 SH       DEFINED        4         --         --    5,722
PRIMEDIA INC             EQUITY 74157K846        106      22,818 SH       SOLE           1     22,818         --       --
PRIMEENERGY CORP         EQUITY 7.4158E+108       46         836 SH       SOLE           1        836         --       --
PRINCETON REVIEW INC     EQUITY 742352107         82      12,099 SH       SOLE           1     12,099         --       --
PRINCETON REVIEW INC     EQUITY 742352107          1         200 SH       DEFINED        4         --         --      200
PRINCIPAL FINANCIAL
   GROUP                 EQUITY 74251V102     10,707     255,108 SH       SOLE           1    255,108         --       --
PRINCIPAL FINANCIAL
   GROUP                 EQUITY 74251V102        135       3,214 SH       SOLE           2      3,214         --       --
PRINCIPAL FINANCIAL
   GROUP IN              EQUITY 74251V102         42       1,000 SH       DEFINED        4         --         --    1,000
PRINCIPAL FINANCIAL
   GROUP IN              EQUITY 74251V102         15         348 SH       DEFINED        5         --         --      348
PRIVATEBANCORP INC       EQUITY 742962103        517      17,017 SH       SOLE           1     17,017         --       --
PROASSURANCE CORPORATION EQUITY 74267C106      1,397      29,039 SH       SOLE           1     29,039         --       --
PROCENTURY CORP          EQUITY 74268T108        193      12,158 SH       SOLE           1     12,158         --       --
PROCTER & GAMBLE CO      EQUITY 742718109        770      12,656 SH       DEFINED        4         --         --   12,656
PROCTER & GAMBLE CO      EQUITY 742718109        980      16,112 SH       DEFINED        5         --         --   16,112
PROCTER & GAMBLE CO.     EQUITY 742718109    101,670   1,671,923 SH       SOLE           1  1,671,923         --       --





                                                                                
PROCTER AND GAMBLE CO    EQUITY 742718109     22,361     367,714 SH       SOLE           2    367,714         --       --
PROGENICS
   PHARMACEUTICALS       EQUITY 743187106        383      24,123 SH       SOLE           1     24,123         --       --
PROGRESS ENERGY INC      EQUITY 743263105        733      17,531 SH       SOLE           2     17,531         --       --
PROGRESS ENERGY INC      EQUITY 743263105         38         914 SH       DEFINED        4         --         --      914
PROGRESS ENERGY INC      EQUITY 743263105        201       4,805 SH       DEFINED        5         --         --    4,805
PROGRESS ENERGY INC.     EQUITY 743263105      4,822     115,285 SH       SOLE           1    115,285         --       --
PROGRESS SOFTWARE CORP.  EQUITY 743312100        962      37,620 SH       SOLE           1     37,620         --       --
PROGRESSIVE CORP OHIO    EQUITY 743315103         14         770 SH       SOLE           2        770         --       --
PROGRESSIVE CORP OHIO    EQUITY 743315103         45       2,410 SH       DEFINED        4         --         --    2,410
PROGRESSIVE CORP OHIO    EQUITY 743315103         27       1,445 SH       DEFINED        5         --         --    1,445
PROGRESSIVE CORP.        EQUITY 743315103      5,466     291,997 SH       SOLE           1    291,997         --       --
PROLOGIS                 EQUITY 743410102     18,700     344,059 SH       SOLE           1    344,059         --       --
PROLOGIS                 EQUITY 743410102        566      10,408 SH       SOLE           2     10,408         --       --
PROLOGIS                 EQUITY 743410102         56       1,035 SH       DEFINED        5         --         --    1,035
PROS HOLDINGS INC        EQUITY 74346Y103        131      11,653 SH       SOLE           1     11,653         --       --
PROSHARES TR             EQUITY 74347R743        755      37,500 SH       DEFINED        4         --         --   37,500
PROSHARES TR             EQUITY 74347R883      1,875      28,125 SH       DEFINED        4         --         --   28,125
PROSHARES TR             EQUITY 74347R602        878      14,874 SH       DEFINED        4         --         --   14,874
PROSHARES TR             EQUITY 74347R800        867      14,121 SH       DEFINED        4         --         --   14,121
PROSHARES TR             EQUITY 74347R503        884      12,901 SH       DEFINED        4         --         --   12,901
PROSHARES TR             EQUITY 74347R297        776      11,321 SH       DEFINED        4         --         --   11,321
PROSHARES TR             EQUITY 74347R826        871      11,162 SH       DEFINED        4         --         --   11,162
PROSHARES TR             EQUITY 74347R586        260       9,730 SH       DEFINED        4         --         --    9,730
PROSHARES TR             EQUITY 74347R206        583       7,950 SH       DEFINED        4         --         --    7,950
PROSHARES TR             EQUITY 74347R834        209       2,647 SH       DEFINED        4         --         --    2,647
PROSHARES TR             EQUITY 74347R628        412       2,631 SH       DEFINED        4         --         --    2,631
PROSHARES TR             EQUITY 74347R875         60       1,341 SH       DEFINED        4         --         --    1,341
PROSHARES TR             EQUITY 74347R859         58       1,041 SH       DEFINED        4         --         --    1,041
PROSHARES TR             EQUITY 74347R107         25         400 SH       DEFINED        4         --         --      400
PROSHARES TR             EQUITY 74347R867         23         350 SH       DEFINED        4         --         --      350
PROSHARES TR             EQUITY 74347R818         12         250 SH       DEFINED        4         --         --      250
PROSHARES TR             EQUITY 74347R842         12         250 SH       DEFINED        4         --         --      250
PROSHARES TR             EQUITY 74347R636          8          75 SH       DEFINED        4         --         --       75
PROSHARES TR             EQUITY 74347R347          4          50 SH       DEFINED        4         --         --       50
PROSHARES TR             EQUITY 74347R875        466      10,400 SH       DEFINED        5         --         --   10,400
PROSHARES TR             EQUITY 74347R586        166       6,200 SH       DEFINED        5         --         --    6,200
PROSHARES TR             EQUITY 74347R321        467       5,525 SH       DEFINED        5         --         --    5,525
PROSHARES TR             EQUITY 74347R107        111       1,800 SH       DEFINED        5         --         --    1,800
PROSHARES TR             EQUITY 74347R701         92       1,350 SH       DEFINED        5         --         --    1,350
PROSHARES TR             EQUITY 74347R503         51         750 SH       DEFINED        5         --         --      750
PROSHARES TR             EQUITY 74347R883         23         350 SH       DEFINED        5         --         --      350
PROSHARES TR             EQUITY 74347R842         14         300 SH       DEFINED        5         --         --      300
PROSHARES TR             EQUITY 74347R743          6         300 SH       DEFINED        5         --         --      300
PROSHARES TR             EQUITY 74347R800          2          25 SH       DEFINED        5         --         --       25
PROSPECT CAPITAL CORP    EQUITY 74348T102        314      23,798 SH       SOLE           1     23,798         --       --
PROSPECT CAPITAL
   CORPORATION           EQUITY 74348T102        216      16,385 SH       DEFINED        4         --         --   16,385
PROSPECT CAPITAL
   CORPORATION           EQUITY 74348T102         22       1,695 SH       DEFINED        5         --         --    1,695
PROSPERITY BANCSHARES
   INC                   EQUITY 743606105        949      35,505 SH       SOLE           1     35,505         --       --
PROTALIX
   BIOTHERAPEUTICS INC   EQUITY 74365A101         26       9,760 SH       SOLE           1      9,760         --       --
PROTECTION ONE INC       EQUITY 743663403         47       5,617 SH       SOLE           1      5,617         --       --
PROTECTIVE LIFE CORP     EQUITY 743674103        146       3,845 SH       DEFINED        4         --         --    3,845
PROTECTIVE LIFE CORP COM EQUITY 743674103      6,229     163,713 SH       SOLE           1    163,713         --       --





                                                                                
PROVIDENCE SERVICE CORP  EQUITY 743815102        233      11,041 SH       SOLE           1     11,041         --       --
PROVIDENCE SVC CORP      EQUITY 743815102      1,156      54,742 SH       SOLE           2     54,742         --       --
PROVIDENT BANKSHARES
   CORP.                 EQUITY 743859100        192      30,028 SH       SOLE           1     30,028         --       --
PROVIDENT ENERGY TR      EQUITY 74386K104        574      50,186 SH       DEFINED        4         --         --   50,186
PROVIDENT ENERGY TR      EQUITY 74386K104        245      21,411 SH       DEFINED        5         --         --   21,411
PROVIDENT ENERGY TRUST   EQUITY 74386K104         49       4,194 SH       OTHER          1         --      4,194       --
PROVIDENT FINANCIAL
   SERVICES              EQUITY 74386T105        757      54,059 SH       SOLE           1     54,059         --       --
PROVIDENT NEW YORK
   BANCORP               EQUITY 744028101        402      36,325 SH       SOLE           1     36,325         --       --
PRUDENTIAL FINANCIAL INC EQUITY 744320102     22,087     369,726 SH       SOLE           1    369,726         --       --
PRUDENTIAL FINL INC      EQUITY 744320102        394       6,596 SH       SOLE           2      6,596         --       --
PRUDENTIAL FINL INC      EQUITY 744320102         68       1,137 SH       DEFINED        4         --         --    1,137
PRUDENTIAL PLC           EQUITY G7293H114          8         400 SH       DEFINED        4         --         --      400
PRUDENTIAL PLC           EQUITY 74435K204          5         254 SH       DEFINED        4         --         --      254
PRUDENTIAL PLC           EQUITY G7293H114          9         453 SH       DEFINED        5         --         --      453
PS BUSINESS PARKS INC    EQUITY 69360J107      1,332      25,816 SH       SOLE           1     25,816         --       --
PSEG ENERGY HOLDINGS     EQUITY 744573106      9,534     207,578 SH       SOLE           1    207,578         --       --
PSS WORLD MEDICAL, INC   EQUITY 69366A100        914      56,103 SH       SOLE           1     56,103         --       --
PSYCHIATRIC SOLUTIONS
   INC                   EQUITY 74439H108      6,747     178,305 SH       SOLE           1    178,305         --       --
PSYCHIATRIC SOLUTIONS
   INC                   EQUITY 74439H108          3          67 SH       DEFINED        4         --         --       67
PUBLIC STORAGE           EQUITY 74460D109         11         140 SH       SOLE           2        140         --       --
PUBLIC STORAGE           EQUITY 74460D109         99       1,227 SH       DEFINED        4         --         --    1,227
PUBLIC STORAGE           EQUITY 74460D729          3         100 SH       DEFINED        4         --         --      100
PUBLIC STORAGE           EQUITY 74460D109         47         578 SH       DEFINED        5         --         --      578
PUBLIC STORAGE           EQUITY 74460D109     11,026     136,479 SH       SOLE           1    136,479         --       --
PUBLIC SVC ENTERPRISE
   GROU                  EQUITY 744573106         27         578 SH       SOLE           2        578         --       --
PUBLIC SVC ENTERPRISE
   GROUP                 EQUITY 744573106        142       3,099 SH       DEFINED        4         --         --    3,099
PUBLIC SVC ENTERPRISE
   GROUP                 EQUITY 744573106        322       7,002 SH       DEFINED        5         --         --    7,002
PUGET ENEGY INC.         EQUITY 745310102      7,295     304,097 SH       SOLE           1    304,097         --       --
PUGET ENERGY INC NEW     EQUITY 745310102         12         504 SH       DEFINED        4         --         --      504
PUGET ENERGY INC NEW     EQUITY 745310102         65       2,726 SH       DEFINED        5         --         --    2,726
PULTE HOMES INC          EQUITY 745867101          2         243 SH       SOLE           2        243         --       --
PULTE HOMES INC          EQUITY 745867101         20       2,100 SH       DEFINED        5         --         --    2,100
PULTE HOMES INC.         EQUITY 745867101      3,603     374,097 SH       SOLE           1    374,097         --       --
PUTMAN HIGH INCOME SEC
   FUND                  EQUITY 746779107         23       3,050 SH       DEFINED        4         --         --    3,050
PUTNAM MANAGED MUN
   INCOM TR              EQUITY 746823103         13       1,874 SH       DEFINED        5         --         --    1,874
PUTNAM PREMIER INCOME TR EQUITY 746853100         19       3,100 SH       DEFINED        4         --         --    3,100
PZENA INVESTMENT
   MANAGEMENT INC        EQUITY 74731Q103         71       5,572 SH       SOLE           1      5,572         --       --
QAD INC                  EQUITY 74727D108         76      11,269 SH       SOLE           1     11,269         --       --
QIAO XING UNIVERSAL
   TELEPHON              EQUITY G7303A109          4         900 SH       DEFINED        4         --         --      900
QIAO XING UNIVERSAL
   TELEPHON              EQUITY G7303A109        256      58,400 SH       DEFINED        5         --         --   58,400
QLOGIC CORP              EQUITY 747277101        156      10,701 SH       SOLE           2     10,701         --       --
QLOGIC CORP.             EQUITY 747277101      2,011     137,863 SH       SOLE           1    137,863         --       --
QUAKER CHEM CORP COM     EQUITY 747316107        248       9,302 SH       SOLE           1      9,302         --       --
QUALCOMM INC             EQUITY 747525103     16,835     379,431 SH       SOLE           2    379,431         --       --
QUALCOMM INC             EQUITY 747525103         57       1,286 SH       DEFINED        4         --         --    1,286
QUALCOMM INC             EQUITY 747525103        220       4,952 SH       DEFINED        5         --         --    4,952
QUALCOMM, INC.           EQUITY 747525103     65,641   1,479,404 SH       SOLE           1  1,479,404         --       --
QUALITY SYSTEMS INC      EQUITY 747582104        464      15,857 SH       SOLE           1     15,857         --       --
QUANEX BUILDING
   PRODUCTS CORP         EQUITY 747619104        499      33,607 SH       SOLE           1     33,607         --       --
QUANTA SERVICES INC      EQUITY 7.4762E+106   24,980     750,816 SH       SOLE           1    750,816         --       --
QUANTA SERVICES INC      EQUITY 7.4762E+106      932      28,000 SH       SOLE           2     28,000         --       --
QUANTA SVCS INC          EQUITY 7.4762E+106        5         158 SH       DEFINED        4         --         --      158





                                                                                
QUANTA SVCS INC          EQUITY 7.4762E+106        2          50 SH       DEFINED        5         --         --       50
QUANTUM CORP DLT &
   STORAGE               EQUITY 747906204        251     186,159 SH       SOLE           1    186,159         --       --
QUANTUM FUEL SYSTEMS
   TECHNOLOGY            EQUITY 7.4765E+113      194      62,833 SH       SOLE           1     62,833         --       --
QUEST DIAGNOSTICS INC    EQUITY 74834L100        584      12,053 SH       SOLE           2     12,053         --       --
QUEST DIAGNOSTICS INC    EQUITY 74834L100         23         475 SH       DEFINED        5         --         --      475
QUEST DIAGNOSTICS, INC.  EQUITY 74834L100      3,230      66,647 SH       SOLE           1     66,647         --       --
QUEST RESOURCE CORP      EQUITY 748349305        207      18,155 SH       SOLE           1     18,155         --       --
QUEST SOFTWARE INC       EQUITY 74834T103        971      65,534 SH       SOLE           1     65,534         --       --
QUESTAR CORP             EQUITY 748356102         14         197 SH       SOLE           2        197         --       --
QUESTAR CORP             EQUITY 748356102         11         154 SH       DEFINED        4         --         --      154
QUESTAR CORP.            EQUITY 748356102      8,982     126,440 SH       SOLE           1    126,440         --       --
QUESTCOR
   PHARMACEUTICALS INC   EQUITY 74835Y101        227      48,924 SH       SOLE           1     48,924         --       --
QUICKLOGIC CORP          EQUITY 74837P108          7       4,000 SH       DEFINED        5         --         --    4,000
QUICKSILVER RESOURCES
   INC                   EQUITY 74837R104      9,296     240,583 SH       SOLE           1    240,583         --       --
QUICKSILVER RESOURCES
   INC                   EQUITY 74837R104         10         250 SH       DEFINED        5         --         --      250
QUICKSILVER, INC.        EQUITY 74838C106      1,121     114,154 SH       SOLE           1    114,154         --       --
QUIDEL CORPORATION       EQUITY 74838J101        422      25,517 SH       SOLE           1     25,517         --       --
QUIKSILVER INC           EQUITY 74838C106        540      55,000 SH       SOLE           2     55,000         --       --
QWEST COMMUNICATIONS
   INTERNATIONAL INC     EQUITY 749121109      4,948   1,258,974 SH       SOLE           1  1,258,974         --       --
R. R. DONNELLEY AND
   SONS CO.              EQUITY 257867101     16,628     560,057 SH       SOLE           1    560,057         --       --
R.H. DONNELLEY CORP.     EQUITY 74955W307        187      62,316 SH       SOLE           1     62,316         --       --
RACKABLE SYSTEMS INC     EQUITY 750077109        360      26,845 SH       SOLE           1     26,845         --       --
RADIAN GROUP, INC.       EQUITY 750236101        375     258,859 SH       SOLE           1    258,859         --       --
RADIANT SYSTEMS, INC.    EQUITY 75025N102        269      25,046 SH       SOLE           1     25,046         --       --
RADIOSHACK CORP          EQUITY 750438103          2         149 SH       SOLE           2        149         --       --
RADIOSHACK CORP          EQUITY 750438103          5         383 SH       DEFINED        4         --         --      383
RADIOSHACK CORP          EQUITY 750438103          2         182 SH       DEFINED        5         --         --      182
RADIOSHACK CORP.         EQUITY 750438103        700      57,016 SH       SOLE           1     57,016         --       --
RADISYS CORP.            EQUITY 750459109        184      20,320 SH       SOLE           1     20,320         --       --
RADNET INC               EQUITY 750491102        120      19,322 SH       SOLE           1     19,322         --       --
RADYNE CORP              EQUITY 750611402        195      17,039 SH       SOLE           1     17,039         --       --
RAIT FINANCIAL TRUST     EQUITY 749227104        416      56,130 SH       SOLE           1     56,130         --       --
RAIT FINANCIAL TRUST     EQUITY 749227104         10       1,397 SH       DEFINED        4         --         --    1,397
RAIT FINANCIAL TRUST     EQUITY 749227104         28       3,800 SH       DEFINED        5         --         --    3,800
RALCORP HOLDINGS, INC.   EQUITY 751028101      1,153      23,320 SH       SOLE           1     23,320         --       --
RAM ENERGY RES INC COM   EQUITY 75130P109      1,294     205,400 SH       SOLE           3     205400         --       --
RAM ENERGY RESOURCES INC EQUITY 75130P109        206      32,645 SH       SOLE           1     32,645         --       --
RAMBUS INC DEL           EQUITY 750917106         28       1,450 SH       DEFINED        5         --         --    1,450
RAMBUS INC.              EQUITY 750917106         46       2,404 SH       SOLE           1      2,404         --       --
RAMCO-GERSHENSON PPTYS
   TR                    EQUITY 751452202          4         200 SH       DEFINED        4         --         --      200
RAMTRON INTL CORP        EQUITY 751907304        310      73,625 SH       DEFINED        4         --         --   73,625
RAMTRON INTL CORP COM
   NEW                   EQUITY 751907304      1,246     295,900 SH       SOLE           3     295900         --       --
RANDGOLD RES LTD         EQUITY 752344309         23         500 SH       DEFINED        5         --         --      500
RANGE RES CORP           EQUITY 75281A109      6,742     102,876 SH       SOLE           2    102,876         --       --
RANGE RES CORP           EQUITY 75281A109      1,172      17,881 SH       DEFINED        4         --         --   17,881
RANGE RES CORP           EQUITY 75281A109         20         300 SH       DEFINED        5         --         --      300
RANGE RESOURCES CORP     EQUITY 75281A109      4,294      65,518 SH       SOLE           1     65,518         --       --
RASER TECHNOLOGIES INC   EQUITY 754055101        398      40,812 SH       SOLE           1     40,812         --       --
RAVEN INDUSTRIES INC     EQUITY 754212108        475      14,490 SH       SOLE           1     14,490         --       --
RAYMOND JAMES
   FINANCIAL, INC.       EQUITY 754730109      5,844     221,466 SH       SOLE           1    221,466         --       --
RAYONIER INC             EQUITY 754907103          6         143 SH       DEFINED        4         --         --      143
RAYONIER INC             EQUITY 754907103        260       6,119 SH       DEFINED        5         --         --    6,119





                                                                                
RAYONIER, INC.           EQUITY 754907103     13,821     325,506 SH       SOLE           1    325,506         --       --
RAYTHEON CO              EQUITY 755111119         12         603 SH       SOLE           1        603         --       --
RAYTHEON CO              EQUITY 755111507      4,767      84,699 SH       SOLE           2     84,699         --       --
RAYTHEON CO              EQUITY 755111507         53         947 SH       DEFINED        4         --         --      947
RAYTHEON CO              EQUITY 755111507        100       1,775 SH       DEFINED        5         --         --    1,775
RAYTHEON CO.             EQUITY 755111507     20,927     371,830 SH       SOLE           1    371,830         --       --
RBC BEARINGS INC         EQUITY 75524B104        657      19,732 SH       SOLE           1     19,732         --       --
RC2 CORP                 EQUITY 749388104        293      15,767 SH       SOLE           1     15,767         --       --
RCN CORP                 EQUITY 749361200        380      35,282 SH       SOLE           1     35,282         --       --
REALNETWORKS INC         EQUITY 75605L104         54       8,168 SH       DEFINED        5         --         --    8,168
REALNETWORKS, INC.       EQUITY 75605L104        541      81,943 SH       SOLE           1     81,943         --       --
REALTY INCOME CORP       EQUITY 756109104        148       6,490 SH       DEFINED        4         --         --    6,490
REALTY INCOME CORP       EQUITY 756109104         23       1,000 SH       DEFINED        5         --         --    1,000
REALTY INCOME CORP.      EQUITY 756109104      1,781      78,266 SH       SOLE           1     78,266         --       --
RED HAT INC              EQUITY 756577102          6         266 SH       DEFINED        5         --         --      266
RED HAT, INC.            EQUITY 756577102         91       4,388 SH       SOLE           1      4,388         --       --
RED LION HOTELS CORP     EQUITY 756764106          2         300 SH       DEFINED        4         --         --      300
RED ROBIN GOURMET
   BURGERS               EQUITY 75689M101        423      15,254 SH       SOLE           1     15,254         --       --
REDDY ICE HLDGS INC      EQUITY 75734R105          2         134 SH       DEFINED        4         --         --      134
REDDY ICE HOLDINGS INC   EQUITY 75734R105        221      16,183 SH       SOLE           1     16,183         --       --
REDWOOD TR INC           EQUITY 758075402          2         100 SH       DEFINED        5         --         --      100
REDWOOD TRUST, INC.      EQUITY 758075402        678      29,755 SH       SOLE           1     29,755         --       --
REGAL ENTMT GROUP        EQUITY 758766109      2,538     166,128 SH       SOLE           1    166,128         --       --
REGAL ENTMT GROUP        EQUITY 758766109      3,782     247,500 SH       SOLE           2    247,500         --       --
REGAL-BELOIT CORP.       EQUITY 758750103      1,231      29,138 SH       SOLE           1     29,138         --       --
REGENCY CENTERS CORP     EQUITY 758849103      3,117      52,718 SH       SOLE           1     52,718         --       --
REGENERON
   PHARMACEUTICALS INC.  EQUITY 75886F107        811      56,182 SH       SOLE           1     56,182         --       --
REGIONS FINANCIAL CORP   EQUITY 7591EP100      4,356     399,251 SH       SOLE           1    399,251         --       --
REGIONS FINANCIAL CORP
   NEW                   EQUITY 7591EP100         13       1,180 SH       DEFINED        4         --         --    1,180
REGIONS FINL CORP NEW    EQUITY 7591EP100          9         790 SH       SOLE           2        790         --       --
REGIS CORP MINN          EQUITY 758932107          3         100 SH       DEFINED        4         --         --      100
REGIS CORP.              EQUITY 758932107      3,648     138,461 SH       SOLE           1    138,461         --       --
REHAB CARE GROUP         EQUITY 759148109        262      16,346 SH       SOLE           1     16,346         --       --
REINSURANCE GROUP AMER
   INC                   EQUITY 759351109         41         950 SH       DEFINED        5         --         --      950
REINSURANCE GROUP OF     EQUITY 759351109         43         984 SH       SOLE           1        984         --       --
RELIANCE STEEL &
   ALUMINIUM CO.         EQUITY 759509102     12,024     155,979 SH       SOLE           1    155,979         --       --
RELIANCE STEEL &
   ALUMINUM CO           EQUITY 759509102      1,250      16,217 SH       DEFINED        5         --         --   16,217
RELIANT ENERGY INC       EQUITY 75952B105        369      17,364 SH       SOLE           1     17,364         --       --
RELIANT ENERGY INC       EQUITY 75952B105          8         383 SH       DEFINED        4         --         --      383
RELIANT ENERGY INC       EQUITY 75952B105         20         922 SH       DEFINED        5         --         --      922
RENAISSANCE LEARNING,
   INC.                  EQUITY 75968L105         98       8,698 SH       SOLE           1      8,698         --       --
RENAISSANCERE HOLDINGS
   LTD                   EQUITY G7496G103        315       7,049 SH       SOLE           2      7,049         --       --
RENAISSANCERE HOLDINGS
   LTD                   EQUITY G7496G103         78       1,750 SH       DEFINED        5         --         --    1,750
RENASANT CORP            EQUITY 7.597E+111       280      18,977 SH       SOLE           1     18,977         --       --
RENT A CTR INC NEW       EQUITY 76009N100          3         150 SH       DEFINED        4         --         --      150
RENT-A-CENTER INC        EQUITY 76009N100      4,417     214,739 SH       SOLE           1    214,739         --       --
RENTECH INC              EQUITY 760112102        285     150,174 SH       SOLE           1    150,174         --       --
RENTECH INC              EQUITY 760112102         10       5,000 SH       DEFINED        5         --         --    5,000
REPLIGEN CORP            EQUITY 759916109        133      28,133 SH       SOLE           1     28,133         --       --
REPUBLIC AIRWAYS
   HOLDINGS IN           EQUITY 760276105        274      31,654 SH       SOLE           1     31,654         --       --
REPUBLIC BANCORP, INC.   EQUITY 760281204        206       8,371 SH       SOLE           1      8,371         --       --
REPUBLIC SERVICES IN     EQUITY 760759100      7,911     266,380 SH       SOLE           1    266,380         --       --





                                                                                
RES-CARE INC             EQUITY 760943100        399      22,469 SH       SOLE           1     22,469         --       --
RESEARCH IN MOTION LTD   EQUITY 760975102     15,326     130,399 SH       OTHER          1         --    130,399       --
RESEARCH IN MOTION LTD   EQUITY 760975102      7,411      63,400 SH       SOLE           2     63,400         --       --
RESEARCH IN MOTION LTD   EQUITY 760975102        388       3,317 SH       DEFINED        4         --         --    3,317
RESEARCH IN MOTION LTD   EQUITY 760975102         99         850 SH       DEFINED        5         --         --      850
RESEARCH IN MOTION LTD
   COM                   EQUITY 760975102      6,055      51,800 SH       SOLE           3     21,500         --   30,300
RESMED INC               EQUITY 761152107      6,443     180,278 SH       SOLE           1    180,278         --       --
RESOURCE AMERICA, INC.   EQUITY 761195205         83       8,891 SH       SOLE           1      8,891         --       --
RESOURCE CAPITAL CORP    EQUITY 76120W302        139      19,262 SH       SOLE           1     19,262         --       --
RESOURCES GLOBAL
   PROFESSIONALS         EQUITY 76122Q105        839      41,217 SH       SOLE           1     41,217         --       --
RETAIL VENTURES INC      EQUITY 76128Y102        120      26,179 SH       SOLE           1     26,179         --       --
REX ENERGY CORP          EQUITY 761565100        401      15,184 SH       SOLE           1     15,184         --       --
REX ENERGY CORPORATION   EQUITY 761565100          8         300 SH       DEFINED        4         --         --      300
REX ENERGY CORPORATION
   COM                   EQUITY 761565100      1,896      71,800 SH       SOLE           3      71800         --       --
REX STORES CORP          EQUITY 761624105         93       8,054 SH       SOLE           1      8,054         --       --
REXAHN PHARMACEUTICALS
   INC                   EQUITY 761640101         86      26,450 SH       SOLE           1     26,450         --       --
REYNOLDS AMERICAN INC    EQUITY 761713106     12,510     268,056 SH       SOLE           1    268,056         --       --
REYNOLDS AMERICAN INC    EQUITY 761713106         56       1,200 SH       DEFINED        5         --         --    1,200
REYNOLDS AMERN INC       EQUITY 761713106      4,487      96,135 SH       SOLE           2     96,135         --       --
RF MICRO DEVICES INC     EQUITY 749941100      2,454     846,299 SH       SOLE           1    846,299         --       --
RF MICRODEVICES INC      EQUITY 749941100        266      91,750 SH       DEFINED        4         --         --   91,750
RF MONOLITHICS INC
   COM(OXFORD PTNRS LP)  EQUITY 74955F106          8       4,973 SH       SOLE           1      4,973         --       --
RICK'S CABARET
   INTERNATIONAL INC     EQUITY 765641303         92       5,465 SH       SOLE           1      5,465         --       --
RIGEL PHARMACEUTICALS
   INC                   EQUITY 766559603        749      33,047 SH       SOLE           1     33,047         --       --
RIGHTNOW TECHNOLOGIES
   INC                   EQUITY 76657R106        344      25,183 SH       SOLE           1     25,183         --       --
RIMAGE CORP              EQUITY 766721104        108       8,732 SH       SOLE           1      8,732         --       --
RIO TINTO PLC            EQUITY 767204100         13          26 SH       DEFINED        4         --         --       26
RIO TINTO PLC            EQUITY 767204100         47          95 SH       DEFINED        5         --         --       95
RISKMETRICS GROUP INC    EQUITY 767735103        382      19,461 SH       SOLE           1     19,461         --       --
RISKMETRICS GROUP INC    EQUITY 767735103        352      17,900 SH       SOLE           2     17,900         --       --
RITCHIE BROS
   AUCTIONEERS INC       EQUITY 767744105         45       1,656 SH       OTHER          1         --      1,656       --
RITE AID CORP            EQUITY 767754104         27      16,841 SH       SOLE           1     16,841         --       --
RITE AID CORP            EQUITY 767754104         10       6,100 SH       DEFINED        5         --         --    6,100
RIVERBED TECHNOLOGY INC  EQUITY 768573107        697      50,797 SH       SOLE           1     50,797         --       --
RIVERVIEW BANCORP INC    EQUITY 769397100          4         500 SH       DEFINED        5         --         --      500
RIVIERA HOLDINGS CORP    EQUITY 769627100         93       9,126 SH       SOLE           1      9,126         --       --
RLI CORP                 EQUITY 749607107         54       1,085 SH       DEFINED        5         --         --    1,085
RLI CORP.                EQUITY 749607107        836      16,904 SH       SOLE           1     16,904         --       --
RMK HIGH INCOME FD INC   EQUITY 74963B105         32      13,527 SH       DEFINED        5         --         --   13,527
ROBBINS & MYERS INC COM  EQUITY 770196103        409       8,200 SH       SOLE           3       8200         --       --
ROBBINS & MYERS, INC.    EQUITY 770196103      1,267      25,404 SH       SOLE           1     25,404         --       --
ROBERT HALF
   INTERNATIONAL INC.    EQUITY 770323103      1,612      67,261 SH       SOLE           1     67,261         --       --
ROBERT HALF INTL INC     EQUITY 770323103          4         181 SH       SOLE           2        181         --       --
ROCHESTER MED CORP       EQUITY 771497104          1         100 SH       DEFINED        5         --         --      100
ROCK-TENN CO., CLASS A   EQUITY 772739207      1,035      34,528 SH       SOLE           1     34,528         --       --
ROCKVILLE FINANCIAL INC  EQUITY 774186100        101       8,047 SH       SOLE           1      8,047         --       --
ROCKWELL AUTOMATION INC  EQUITY 773903109      8,847     202,316 SH       SOLE           1    202,316         --       --
ROCKWELL AUTOMATION INC  EQUITY 773903109          7         167 SH       SOLE           2        167         --       --
ROCKWELL AUTOMATION INC  EQUITY 773903109          1          24 SH       DEFINED        4         --         --       24
ROCKWELL AUTOMATION INC  EQUITY 773903109          4         100 SH       DEFINED        5         --         --      100
ROCKWELL COLLINS INC     EQUITY 774341101      3,465      72,248 SH       SOLE           1     72,248         --       --
ROCKWELL COLLINS INC     EQUITY 774341101          9         183 SH       SOLE           2        183         --       --





                                                                                
ROCKWOOD HOLDINGS INC    EQUITY 774415103      1,314      37,763 SH       SOLE           1     37,763         --       --
ROFIN-SINAR
   TECHNOLOGIES INC      EQUITY 775043102        812      26,891 SH       SOLE           1     26,891         --       --
ROGERS COMMUNICATIONS
   INC                   EQUITY 775109200      5,516     141,473 SH       OTHER          1         --    141,473       --
ROGERS CORP.             EQUITY 775133101        611      16,242 SH       SOLE           1     16,242         --       --
ROHM & HAAS CO           EQUITY 775371107          5         100 SH       DEFINED        4         --         --      100
ROHM + HAAS CO           EQUITY 775371107        117       2,513 SH       SOLE           2      2,513         --       --
ROHM AND HAAS CO.        EQUITY 775371107      2,530      54,480 SH       SOLE           1     54,480         --       --
ROLLINS, INC.            EQUITY 775711104      2,011     135,663 SH       SOLE           1    135,663         --       --
ROMA FINANCIAL CORP      EQUITY 77581P109        104       7,941 SH       SOLE           1      7,941         --       --
ROPER INDUSTRIES, INC.   EQUITY 776696106     13,746     208,658 SH       SOLE           1    208,658         --       --
ROSETTA RESOURCES INC    EQUITY 777779307      1,328      46,589 SH       SOLE           1     46,589         --       --
ROSS STORES INC          EQUITY 778296103        147       4,150 SH       SOLE           2      4,150         --       --
ROSS STORES INC          EQUITY 778296103        187       5,252 SH       DEFINED        5         --         --    5,252
ROSS STORES, INC.        EQUITY 778296103     11,364     319,940 SH       SOLE           1    319,940         --       --
ROWAN COMPANIES, INC.    EQUITY 779382100      3,705      79,249 SH       SOLE           1     79,249         --       --
ROWAN COS INC            EQUITY 779382100          6         128 SH       SOLE           2        128         --       --
ROYAL BANK OF CANADA     EQUITY 780087102     15,412     343,575 SH       OTHER          1         --    343,575       --
ROYAL BANK OF SCOTLAND
   GROUP PLC             EQUITY 780097713      8,098     396,000 SH       SOLE           1    396,000         --       --
ROYAL BANK OF SCOTLAND
   GROUP PLC             EQUITY 780097747      2,936     171,900 SH       SOLE           1    171,900         --       --
ROYAL BANK OF SCOTLAND
   GROUP PLC             EQUITY 780097804      1,945      90,000 SH       SOLE           1     90,000         --       --
ROYAL BANK OF SCOTLAND
   GROUP PLC             EQUITY 780097788        484      30,000 SH       SOLE           1     30,000         --       --
ROYAL BANK OF SCOTLAND
   GROUP PLC             EQUITY 780097754        470      25,000 SH       SOLE           1     25,000         --       --
ROYAL BK CDA MONTREAL
   QUE                   EQUITY 780087102        105       2,350 SH       DEFINED        5         --         --    2,350
ROYAL BK OF SCOT PERP    EQUITY 780097770        996      55,000 SH       SOLE           1     55,000         --       --
ROYAL BK SCOTLAND GROUP
   PLC                   EQUITY 780097788          7         425 SH       DEFINED        4         --         --      425
ROYAL BK SCOTLAND GROUP
   PLC                   EQUITY 780097721          1         344 SH       DEFINED        4         --         --      344
ROYAL BK SCOTLAND GROUP
   PLC                   EQUITY 780097713          4         200 SH       DEFINED        4         --         --      200
ROYAL BK SCOTLAND GROUP
   PLC                   EQUITY 780097788        199      12,355 SH       DEFINED        5         --         --   12,355
ROYAL BK SCOTLAND GROUP
   PLC                   EQUITY 780097796         55       3,056 SH       DEFINED        5         --         --    3,056
ROYAL BK SCOTLAND GROUP
   PLC                   EQUITY 780097713         10         500 SH       DEFINED        5         --         --      500
ROYAL CARIBBEAN CRUISES
   LT                    EQUITY V7780T103        133       5,900 SH       SOLE           2      5,900         --       --
ROYAL DUTCH SHELL PLC    EQUITY 780259107         41         517 SH       DEFINED        4         --         --      517
ROYAL DUTCH SHELL PLC    EQUITY 780259206         11         139 SH       DEFINED        4         --         --      139
ROYAL DUTCH SHELL PLC    EQUITY 780259206         63         775 SH       DEFINED        5         --         --      775
ROYAL DUTCH SHELL PLC    EQUITY 780259107         34         430 SH       DEFINED        5         --         --      430
ROYAL GOLD INC           EQUITY 780287108        831      26,487 SH       SOLE           1     26,487         --       --
ROYAL GOLD INC           EQUITY 780287108          5         150 SH       DEFINED        5         --         --      150
ROYCE MICRO-CAP TR INC   EQUITY 780915104          8         783 SH       DEFINED        4         --         --      783
ROYCE VALUE TR INC       EQUITY 780910105         55       3,492 SH       DEFINED        4         --         --    3,492
ROYCE VALUE TR INC       EQUITY 780910105          2         107 SH       DEFINED        5         --         --      107
RPC                      EQUITY 749660106        441      26,267 SH       SOLE           1     26,267         --       --
RPM INTERNATIONAL INC.   EQUITY 749685103      5,890     285,940 SH       SOLE           1    285,940         --       --
RPM INTL INC             EQUITY 749685103         27       1,293 SH       DEFINED        4         --         --    1,293
RSC HOLDINGS INC         EQUITY 74972L102        399      43,096 SH       SOLE           1     43,096         --       --
RSC HOLDINGS INC         EQUITY 74972L102         12       1,338 SH       DEFINED        4         --         --    1,338
RTI BIOLOGICS INC        EQUITY 74975N105        426      48,676 SH       SOLE           1     48,676         --       --
RTI INTERNATIONAL
   METALS, INC.          EQUITY 74973W107        742      20,829 SH       SOLE           1     20,829         --       --
RTI INTL METALS INC      EQUITY 74973W107         14         400 SH       DEFINED        4         --         --      400
RUBICON TECHNOLOGY INC   EQUITY 78112T107        244      12,001 SH       SOLE           1     12,001         --       --
RUBY TUESDAY, INC.       EQUITY 781182100        254      46,946 SH       SOLE           1     46,946         --       --
RUDDICK CORP.            EQUITY 781258108      4,259     124,128 SH       SOLE           1    124,128         --       --
RUDOLPH TECHNOLOGIES
   INC.                  EQUITY 781270103        213      27,688 SH       SOLE           1     27,688         --       --





                                                                                
RURAL CELLULAR CORP      EQUITY 781904107        543      12,208 SH       SOLE           1     12,208         --       --
RUSH ENTERPRISES INC-CL
   A                     EQUITY 781846209        365      30,432 SH       SOLE           1     30,432         --       --
RUSS BERRIE AND CO.,
   INC.                  EQUITY 782233100        121      15,186 SH       SOLE           1     15,186         --       --
RUTH'S HOSPITALITY
   GROUP INC             EQUITY 783332109         94      18,204 SH       SOLE           1     18,204         --       --
RXI PHARMACEUTICALS CORP EQUITY 74978T109          8       1,000 SH       DEFINED        4         --         --    1,000
RXI PHARMACEUTICALS CORP EQUITY 74978T109          2         299 SH       DEFINED        5         --         --      299
RYANAIR HLDGS PLC        EQUITY 783513104         37       1,301 SH       DEFINED        5         --         --    1,301
RYANAIR HOLDINGS PLC-SP
   ADR                   EQUITY 783513104        276       9,627 SH       SOLE           1      9,627         --       --
RYDER SYS INC            EQUITY 783549108          4          65 SH       SOLE           2         65         --       --
RYDER SYSTEM, INC.       EQUITY 783549108      3,093      44,908 SH       SOLE           1     44,908         --       --
RYDEX ETF TRUST          EQUITY 78355W106        730      17,480 SH       DEFINED        4         --         --   17,480
RYDEX ETF TRUST          EQUITY 78355W205        164       1,763 SH       DEFINED        4         --         --    1,763
RYDEX ETF TRUST          EQUITY 78355W841         51         992 SH       DEFINED        4         --         --      992
RYDEX ETF TRUST          EQUITY 78355W106        127       3,032 SH       DEFINED        5         --         --    3,032
RYDEX ETF TRUST          EQUITY 78355W205         74         789 SH       DEFINED        5         --         --      789
RYDEX ETF TRUST          EQUITY 78355W767          2          25 SH       DEFINED        5         --         --       25
RYLAND GROUP             EQUITY 783764103      2,972     136,285 SH       SOLE           1    136,285         --       --
S J W CORP COM           EQUITY 784305104        314      11,889 SH       SOLE           1     11,889         --       --
S&P 500 DEPOSITORY
   RECEIPT               EQUITY 78462F103    121,593     950,097 SH       SOLE           1    950,097         --       --
S&T BANCORP, INC.        EQUITY 783859101        627      21,568 SH       SOLE           1     21,568         --       --
S.Y. BANCORP INC         EQUITY 785060104        259      12,147 SH       SOLE           1     12,147         --       --
S1 CORPORATION           EQUITY 78463B101        339      44,721 SH       SOLE           1     44,721         --       --
SABINE ROYALTY TR        EQUITY 785688102        375       5,506 SH       DEFINED        4         --         --    5,506
SABINE ROYALTY TR        EQUITY 785688102         10         154 SH       DEFINED        5         --         --      154
SADIA S A                EQUITY 786326108         13         600 SH       DEFINED        4         --         --      600
SAFECO CORP              EQUITY 786429100          7         102 SH       SOLE           2        102         --       --
SAFECO CORP              EQUITY 786429100          2          24 SH       DEFINED        4         --         --       24
SAFECO CORP              EQUITY 786429100         23         343 SH       DEFINED        5         --         --      343
SAFECO CORP.             EQUITY 786429100     11,211     166,933 SH       SOLE           1    166,933         --       --
SAFEGUARD SCIENTIFICS,
   INC.                  EQUITY 786449108        137     110,098 SH       SOLE           1    110,098         --       --
SAFETY INSURANCE GROUP
   INC                   EQUITY 78648T100        790      22,152 SH       SOLE           1     22,152         --       --
SAFEWAY INC              EQUITY 786514208     18,715     655,517 SH       SOLE           1    655,517         --       --
SAFEWAY INC              EQUITY 786514208      1,405     150,438 SH       SOLE           2    150,438         --       --
SAFEWAY INC              EQUITY 786514208          7         240 SH       DEFINED        4         --         --      240
SAIA INC                 EQUITY 78709Y105        133      12,183 SH       SOLE           1     12,183         --       --
SAIC INC                 EQUITY 78390X101        121       5,795 SH       SOLE           1      5,795         --       --
SAIC INC                 EQUITY 78390X101          6         300 SH       DEFINED        4         --         --      300
SAIC INC                 EQUITY 78390X101          5         250 SH       DEFINED        5         --         --      250
SAKS INC                 EQUITY 79377W108      3,697     336,683 SH       SOLE           1    336,683         --       --
SAKS INC                 EQUITY 79377W108          4         371 SH       DEFINED        4         --         --      371
SALARY.COM INC           EQUITY 794006106        696     174,841 SH       SOLE           1    174,841         --       --
SALESFORCE COM INC       EQUITY 79466L302      1,623      23,790 SH       SOLE           2     23,790         --       --
SALESFORCE.COM INC       EQUITY 79466L302      4,354      63,815 SH       SOLE           1     63,815         --       --
SALESFORCE.COM INC.      EQUITY 79466L302      7,539     110,500 SH       SOLE           3      45600         --    64900
SALIX PHARMACEUTICALS    EQUITY 795435106        304      43,253 SH       SOLE           1     43,253         --       --
SALLY BEAUTY CO INC      EQUITY 7.9546E+108      552      85,445 SH       SOLE           1     85,445         --       --
SAN JUAN BASIN RTY TR    EQUITY 798241105         82       1,769 SH       DEFINED        4         --         --    1,769
SAN JUAN BASIN RTY TR    EQUITY 798241105         17         360 SH       DEFINED        5         --         --      360
SANDERS MORRIS HARRIS
   GRP IN                EQUITY 80000Q104        120      17,627 SH       SOLE           1     17,627         --       --
SANDERSON FARMS INC CALL EQUITY 800013904          2           5     CALL DEFINED        4         --         --        5
SANDERSON FARMS, INC.    EQUITY 800013104        634      18,368 SH       SOLE           1     18,368         --       --
SANDISK CORP             EQUITY 80004C101          5         256 SH       SOLE           2        256         --       --





                                                                                
SANDISK CORP             EQUITY 80004C101          3         150 SH       DEFINED        5         --         --      150
SANDISK CORP.            EQUITY 80004C101      2,011     107,555 SH       SOLE           1    107,555         --       --
SANDRIDGE ENERGY INC     EQUITY 80007P307        137       2,123 SH       SOLE           1      2,123         --       --
SANDRIDGE ENERGY INC     EQUITY 80007P307         19         300 SH       DEFINED        4         --         --      300
SANDRIDGE ENERGY INC     EQUITY 80007P307          3          50 SH       DEFINED        5         --         --       50
SANDRIDGE ENERGY INC COM EQUITY 80007P307      2,615      40,500 SH       SOLE           3       9300         --    31200
SANDY SPRING BANCORP,
   INC.                  EQUITY 800363103        247      14,872 SH       SOLE           1     14,872         --       --
SANGAMO BIOSCIENCES INC  EQUITY 800677106        330      33,166 SH       SOLE           1     33,166         --       --
SANGAMO BIOSCIENCES INC  EQUITY 800677106         14       1,400 SH       DEFINED        4         --         --    1,400
SANMINA - SCI CORP       EQUITY 800907107      1,581   1,234,905 SH       SOLE           1  1,234,905         --       --
SANMINA SCI CORP         EQUITY 800907107          1       1,000 SH       DEFINED        5         --         --    1,000
SANOFI AVENTIS           EQUITY 80105N105          7         216 SH       DEFINED        4         --         --      216
SANOFI AVENTIS           EQUITY 80105N105          3          93 SH       DEFINED        5         --         --       93
SANTANDER BANCORP        EQUITY 802809103         42       3,971 SH       SOLE           1      3,971         --       --
SAPIENT CORP.            EQUITY 803062108        511      79,532 SH       SOLE           1     79,532         --       --
SARA LEE CORP            EQUITY 803111103         10         803 SH       SOLE           2        803         --       --
SARA LEE CORP            EQUITY 803111103         15       1,195 SH       DEFINED        4         --         --    1,195
SARA LEE CORP            EQUITY 803111103          1         109 SH       DEFINED        5         --         --      109
SARA LEE CORP.           EQUITY 803111103      3,903     318,625 SH       SOLE           1    318,625         --       --
SASOL LTD                EQUITY 803866300         32         542 SH       DEFINED        5         --         --      542
SAUER-DANFOSS INC.       EQUITY 804137107        313      10,054 SH       SOLE           1     10,054         --       --
SAVIENT PHARMACEUTICALS
   IN                    EQUITY 80517Q100        433      17,100 SH       SOLE           2     17,100         --       --
SAVIENT PHARMACEUTICALS
   INC                   EQUITY 80517Q100      1,243      49,123 SH       SOLE           1     49,123         --       --
SAVVIS INC               EQUITY 805423308        439      34,038 SH       SOLE           1     34,038         --       --
SBA COMMUNICATIONS
   CORPORATION           EQUITY 78388J106         90       2,501 SH       SOLE           1      2,501         --       --
SCANA CORP               EQUITY 80589M102     10,161     274,623 SH       SOLE           1    274,623         --       --
SCANA CORP NEW           EQUITY 80589M102          6         167 SH       DEFINED        4         --         --      167
SCANA CORP NEW           EQUITY 80589M102          6         165 SH       DEFINED        5         --         --      165
SCANSOFT INC             EQUITY 67020Y100         62       3,968 SH       SOLE           1      3,968         --       --
SCANSOURCE INC           EQUITY 806037107        637      23,802 SH       SOLE           1     23,802         --       --
SCBT FINANCIAL CORP      EQUITY 78401V102        264       9,232 SH       SOLE           1      9,232         --       --
SCHAWK, INC.             EQUITY 806373106        164      13,639 SH       SOLE           1     13,639         --       --
SCHEIN HENRY INC         EQUITY 806407102          8         150 SH       DEFINED        5         --         --      150
SCHERING PLOUGH CORP     EQUITY 806605101      2,626     133,343 SH       SOLE           2    133,343         --       --
SCHERING PLOUGH CORP     EQUITY 806605101          8         418 SH       DEFINED        4         --         --      418
SCHERING PLOUGH CORP     EQUITY 806605101         55       2,802 SH       DEFINED        5         --         --    2,802
SCHERING-PLOUGH CORP.    EQUITY 806605101     23,071   1,171,702 SH       SOLE           1  1,171,702         --       --
SCHIFF NUTRITION
   INTERNATIONAL INC     EQUITY 806693107         47       8,451 SH       SOLE           1      8,451         --       --
SCHLUMBERGER LTD         EQUITY 806857108     15,850     147,537 SH       SOLE           2    147,537         --       --
SCHLUMBERGER LTD         EQUITY 806857108        101         944 SH       DEFINED        4         --         --      944
SCHLUMBERGER LTD         EQUITY 806857108        397       3,698 SH       DEFINED        5         --         --    3,698
SCHLUMBERGER, LTD.       EQUITY 806857108     83,703     779,143 SH       SOLE           1    779,143         --       --
SCHNITZER STL INDS       EQUITY 806882106         79         687 SH       SOLE           1        687         --       --
SCHOLASTIC CORP.         EQUITY 807066105      2,353      82,091 SH       SOLE           1     82,091         --       --
SCHOOL SPECIALTY, INC.   EQUITY 807863105        534      17,950 SH       SOLE           1     17,950         --       --
SCHULMAN, A. INC.        EQUITY 808194104        565      24,546 SH       SOLE           1     24,546         --       --
SCHWAB CHARLES CORP      EQUITY 808513105      3,774     183,756 SH       SOLE           2    183,756         --       --
SCHWAB CHARLES CORP NEW  EQUITY 808513105         17         820 SH       DEFINED        5         --         --      820
SCHWEITZER-MAUDUIT INC.  EQUITY 808541106        239      14,192 SH       SOLE           1     14,192         --       --
SCIELE PHARMA INC        EQUITY 808627103        614      31,743 SH       SOLE           1     31,743         --       --
SCIENTIFIC GAMES CORP    EQUITY 80874P109     15,488     522,900 SH       SOLE           2    522,900         --       --
SCIENTIFIC GAMES CORP A  EQUITY 80874P109      4,481     151,286 SH       SOLE           1    151,286         --       --





                                                                                
SCOTTS MIRACLE GRO CO    EQUITY 810186106      2,374     135,100 SH       SOLE           2    135,100         --       --
SCOTTS MIRACLE GRO CO    EQUITY 810186106          1          75 SH       DEFINED        5         --         --       75
SCOTTS MIRACLE-GRO CO.   EQUITY 810186106      1,829     104,088 SH       SOLE           1    104,088         --       --
SCPIE HOLDINGS INC       EQUITY 78402P104        218       7,804 SH       SOLE           1      7,804         --       --
SCRIPPS CO               EQUITY 811054204      4,570     110,005 SH       SOLE           1    110,005         --       --
SCRIPPS E W CO OH        EQUITY 811054204          4         102 SH       SOLE           2        102         --       --
SEABOARD CORP.           EQUITY 811543107        473         305 SH       SOLE           1        305         --       --
SEABRIDGE GOLD INC       EQUITY 811916105          7         300 SH       DEFINED        5         --         --      300
SEABRIGHT INSURANCE
   HOLDINGS              EQUITY 811656107        278      19,203 SH       SOLE           1     19,203         --       --
SEACHANGE
   INTERNATIONAL, INC.   EQUITY 811699107        200      27,963 SH       SOLE           1     27,963         --       --
SEACOAST BANKING CORP FL EQUITY 811707306        104      13,420 SH       SOLE           1     13,420         --       --
SEACOR HOLDINGS INC      EQUITY 811904101        523       5,842 SH       SOLE           1      5,842         --       --
SEAGATE TECHNOLOGY       EQUITY G7945J104        145       7,600 SH       SOLE           2      7,600         --       --
SEAGATE TECHNOLOGY       EQUITY G7945J104          8         441 SH       DEFINED        4         --         --      441
SEAGATE TECHNOLOGY       EQUITY G7945J104          6         293 SH       DEFINED        5         --         --      293
SEALED AIR CORP          EQUITY 81211K100      1,346      70,798 SH       SOLE           1     70,798         --       --
SEALED AIR CORP NEW      EQUITY 81211K100          3         182 SH       SOLE           2        182         --       --
SEALED AIR CORP NEW      EQUITY 81211K100          8         420 SH       DEFINED        5         --         --      420
SEALY CORP               EQUITY 812139301        230      40,056 SH       SOLE           1     40,056         --       --
SEARS HLDGS CORP         EQUITY 812350106          6          80 SH       SOLE           2         80         --       --
SEARS HLDGS CORP         EQUITY 812350106          4          50 SH       DEFINED        4         --         --       50
SEARS HLDGS CORP         EQUITY 812350106          6          75 SH       DEFINED        5         --         --       75
SEARS HOLDINGS CORP      EQUITY 812350106      3,986      54,118 SH       SOLE           1     54,118         --       --
SEASPAN CORP             EQUITY Y75638109         25       1,027 SH       DEFINED        4         --         --    1,027
SEASPAN CORP             EQUITY Y75638109         17         700 SH       DEFINED        5         --         --      700
SEATTLE GENETICS INC WA  EQUITY 812578102        464      54,865 SH       SOLE           1     54,865         --       --
SECURE COMPUTING CORP    EQUITY 813705100        198      47,944 SH       SOLE           1     47,944         --       --
SECURITY BANK CORP       EQUITY 814047106          8       1,300 SH       DEFINED        4         --         --    1,300
SEI INVESTMENTS CO.      EQUITY 784117103      7,347     312,387 SH       SOLE           1    312,387         --       --
SELECT SECTOR SPDR TR    EQUITY 81369Y308      1,690      63,161 SH       DEFINED        4         --         --   63,161
SELECT SECTOR SPDR TR    EQUITY 81369Y605        456      22,518 SH       DEFINED        4         --         --   22,518
SELECT SECTOR SPDR TR    EQUITY 81369Y803        331      14,455 SH       DEFINED        4         --         --   14,455
SELECT SECTOR SPDR TR    EQUITY 81369Y506        886      10,011 SH       DEFINED        4         --         --   10,011
SELECT SECTOR SPDR TR    EQUITY 81369Y209        127       4,165 SH       DEFINED        4         --         --    4,165
SELECT SECTOR SPDR TR    EQUITY 81369Y704        110       3,237 SH       DEFINED        4         --         --    3,237
SELECT SECTOR SPDR TR    EQUITY 81369Y886        101       2,470 SH       DEFINED        4         --         --    2,470
SELECT SECTOR SPDR TR    EQUITY 81369Y100         60       1,431 SH       DEFINED        4         --         --    1,431
SELECT SECTOR SPDR TR    EQUITY 81369Y886        190       4,659 SH       DEFINED        5         --         --    4,659
SELECT SECTOR SPDR TR    EQUITY 81369Y704        154       4,528 SH       DEFINED        5         --         --    4,528
SELECT SECTOR SPDR TR    EQUITY 81369Y308         79       2,942 SH       DEFINED        5         --         --    2,942
SELECT SECTOR SPDR TR    EQUITY 81369Y100        116       2,774 SH       DEFINED        5         --         --    2,774
SELECT SECTOR SPDR TR    EQUITY 81369Y506        222       2,510 SH       DEFINED        5         --         --    2,510
SELECT SECTOR SPDR TR    EQUITY 81369Y209         47       1,540 SH       DEFINED        5         --         --    1,540
SELECT SECTOR SPDR TR    EQUITY 81369Y605         25       1,240 SH       DEFINED        5         --         --    1,240
SELECT SECTOR SPDR TR    EQUITY 81369Y803         27       1,174 SH       DEFINED        5         --         --    1,174
SELECT SECTOR SPDR TR    EQUITY 81369Y407          2          69 SH       DEFINED        5         --         --       69
SELECTIVE INSURANCE
   GROUP, INC            EQUITY 816300107        906      48,290 SH       SOLE           1     48,290         --       --
SEMITOOL, INC.           EQUITY 816909105        153      20,430 SH       SOLE           1     20,430         --       --
SEMPRA ENERGY            EQUITY 816851109      6,244     110,620 SH       SOLE           1    110,620         --       --
SEMPRA ENERGY            EQUITY 816851109         16         285 SH       SOLE           2        285         --       --
SEMPRA ENERGY            EQUITY 816851109         19         330 SH       DEFINED        4         --         --      330
SEMPRA ENERGY            EQUITY 816851109         23         406 SH       DEFINED        5         --         --      406





                                                                                
SEMTECH CORP             EQUITY 816850101         12         848 SH       DEFINED        4         --         --      848
SEMTECH CORP             EQUITY 816850101          9         646 SH       DEFINED        5         --         --      646
SEMTECH CORP.            EQUITY 816850101      2,799     198,923 SH       SOLE           1    198,923         --       --
SENIOR HOUSING PROP
   TRUST                 EQUITY 81721M109      1,679      85,994 SH       SOLE           1     85,994         --       --
SENIOR HSG PPTYS TR      EQUITY 81721M109          5         250 SH       DEFINED        5         --         --      250
SENORX INC               EQUITY 81724W104      4,844     625,000 SH       SOLE           1    625,000         --       --
SENSIENT TECHNOLOGIES
   CORP.                 EQUITY 81725T100      4,354     154,634 SH       SOLE           1    154,634         --       --
SEPRACOR INC             EQUITY 817315104          7         375 SH       DEFINED        5         --         --      375
SEPRACOR, INC.           EQUITY 817315104      5,011     251,581 SH       SOLE           1    251,581         --       --
SEQUENOM INC             EQUITY 817337405        656      41,133 SH       SOLE           1     41,133         --       --
SERVICE CORP
   INTERNATIONAL         EQUITY 817565104      6,037     612,252 SH       SOLE           1    612,252         --       --
SHANDA INTERACTIVE ENT
   SPONSOR               EQUITY 81941Q203        418      15,400 SH       SOLE           3      15400         --       --
SHANDA INTERACTIVE
   ENTERTAINMENT LTD     EQUITY 81941Q203        798      29,400 SH       SOLE           1     29,400         --       --
SHANDA INTERACTIVE
   ENTMT L               EQUITY 81941Q203        673      24,800 SH       SOLE           2     24,800         --       --
SHAW COMMUNICATIONS INC  EQUITY 82028K200          2         100 SH       DEFINED        4         --         --      100
SHAW COMMUNICATIONS INC
  -- B                   EQUITY 82028K200     11,252     548,530 SH       OTHER          1         --    548,530       --
SHAW GROUP INC           EQUITY 820280105     11,957     193,508 SH       SOLE           1    193,508         --       --
SHAW GROUP INC           EQUITY 820280105         12         200 SH       DEFINED        4         --         --      200
SHAW GROUP INC           EQUITY 820280105         15         250 SH       DEFINED        5         --         --      250
SHENANDOAH TELECOMMUNI   EQUITY 82312B106        278      21,316 SH       SOLE           1     21,316         --       --
SHENGDATECH INC          EQUITY 823213103        271      27,299 SH       SOLE           1     27,299         --       --
SHERWIN WILLIAMS CO      EQUITY 824348106      2,141      46,612 SH       SOLE           2     46,612         --       --
SHERWIN-WILLIAMS CO.     EQUITY 824348106      5,831     126,946 SH       SOLE           1    126,946         --       --
SHINHAN FINANCIAL GROUP
   CO L                  EQUITY 824596100         18         200 SH       DEFINED        4         --         --      200
SHIP FINANCE
   INTERNATIONAL L       EQUITY G81075106          6         218 SH       DEFINED        4         --         --      218
SHIP FINANCE
   INTERNATIONAL L       EQUITY G81075106        146       4,936 SH       DEFINED        5         --         --    4,936
SHOE CARNIVAL INC        EQUITY 824889109         95       8,033 SH       SOLE           1      8,033         --       --
SHORE BANCSHARES INC     EQUITY 825107105        142       7,605 SH       SOLE           1      7,605         --       --
SHORETEL INC             EQUITY 825211105        173      39,226 SH       SOLE           1     39,226         --       --
SHORETEL INC             EQUITY 825211105         88      20,000 SH       DEFINED        4         --         --   20,000
SHUFFLE MASTER, INC.     EQUITY 825549108        158      31,938 SH       SOLE           1     31,938         --       --
SHUTTERFLY INC           EQUITY 82568P304        218      17,822 SH       SOLE           1     17,822         --       --
SHUTTERFLY INC           EQUITY 82568P304      1,971     161,400 SH       SOLE           2    161,400         --       --
SI INTERNATIONAL INC     EQUITY 78427V102        252      12,021 SH       SOLE           1     12,021         --       --
SIEMENS A G              EQUITY 826197501         22         202 SH       DEFINED        4         --         --      202
SIEMENS A G              EQUITY 826197501         17         156 SH       DEFINED        5         --         --      156
SIERRA BANCORP           EQUITY 82620P102        111       6,729 SH       SOLE           1      6,729         --       --
SIERRA PAC RES NEW       EQUITY 826428104        107       8,440 SH       SOLE           2      8,440         --       --
SIERRA PACIFIC RESOURCES EQUITY 826428104      6,964     547,927 SH       SOLE           1    547,927         --       --
SIGMA ALDRICH            EQUITY 826552101          8         147 SH       SOLE           2        147         --       --
SIGMA ALDRICH CORP       EQUITY 826552101         14         264 SH       DEFINED        5         --         --      264
SIGMA ALDRICH CORP.      EQUITY 826552101      3,314      61,539 SH       SOLE           1     61,539         --       --
SIGMA DESIGNS INC        EQUITY 826565103        334      24,040 SH       SOLE           1     24,040         --       --
SIGMA DESIGNS INC        EQUITY 826565103          3         200 SH       DEFINED        4         --         --      200
SIGMA DESIGNS INC        EQUITY 826565103         11         800 SH       DEFINED        5         --         --      800
SIGNATURE BANK           EQUITY 82669G104        695      26,974 SH       SOLE           1     26,974         --       --
SILGAN HOLDINGS, INC.    EQUITY 827048109      1,159      22,840 SH       SOLE           1     22,840         --       --
SILICON IMAGE  INC       EQUITY 82705T102        481      66,407 SH       SOLE           1     66,407         --       --
SILICON IMAGE INC        EQUITY 82705T102         11       1,500 SH       DEFINED        4         --         --    1,500
SILICON IMAGE INC        EQUITY 82705T102          7         900 SH       DEFINED        5         --         --      900
SILICON LABORATORIES INC EQUITY 826919102      4,104     113,721 SH       SOLE           1    113,721         --       --
SILICON MOTION
   TECHNOLOGY CO         EQUITY 82706C108          7         500 SH       DEFINED        4         --         --      500





                                                                                
SILICON STORAGE
   TECHNOLOGY            EQUITY 827057100        210      75,735 SH       SOLE           1     75,735         --       --
SILVER STD RES INC       EQUITY 82823L106          3         115 SH       DEFINED        5         --         --      115
SILVER WHEATON CORP      EQUITY 828336107          8         539 SH       OTHER          1         --        539       --
SILVER WHEATON CORP      EQUITY 828336107         24       1,607 SH       DEFINED        5         --         --    1,607
SIMCERE PHARM GRP SPON
   ADR (F)               EQUITY 82859P104        522      41,400 SH       SOLE           3      41400         --       --
SIMCERE PHARMACEUTICAL
   GROUP                 EQUITY 82859P104        828      65,700 SH       SOLE           1     65,700         --       --
SIMMONS FIRST NATIONAL
   CORP.                 EQUITY 828730200        353      12,625 SH       SOLE           1     12,625         --       --
SIMON PPTY GROUP INC NEW EQUITY 828806109         23         256 SH       SOLE           2        256         --       --
SIMON PPTY GROUP INC NEW EQUITY 828806109         13         140 SH       DEFINED        4         --         --      140
SIMON PROPERTY GROUP INC EQUITY 828806109     25,888     287,999 SH       SOLE           1    287,999         --       --
SIMPSON MANUFACTURING
   CO.                   EQUITY 829073105        800      33,714 SH       SOLE           1     33,714         --       --
SINCLAIR BROADCAST
   GROUP, INC.           EQUITY 829226109        361      47,459 SH       SOLE           1     47,459         --       --
SINOPEC SHANGHAI
   PETROCHEMIC           EQUITY 82935M109         14         420 SH       DEFINED        4         --         --      420
SIRF TECHNOLOGY HLDGS
   INC                   EQUITY 82967H101          1         300 SH       DEFINED        4         --         --      300
SIRF TECHNOLOGY HLDGS
   INC                   EQUITY 82967H101         49      11,300 SH       DEFINED        5         --         --   11,300
SIRF TECHNOLOGY
   HOLDINGS INC          EQUITY 82967H101        237      54,941 SH       SOLE           1     54,941         --       --
SIRIUS SATELLITE RADIO
   INC                   EQUITY 82966U103         37      19,310 SH       DEFINED        4         --         --   19,310
SIRIUS SATELLITE RADIO
   INC                   EQUITY 82966U103        192      99,882 SH       DEFINED        5         --         --   99,882
SIRIUS SATELLITE RADIO
   INC.                  EQUITY 82966U103      1,115     580,550 SH       SOLE           1    580,550         --       --
SIRONA DENTAL SYS INC    EQUITY 82966C103      2,799     108,000 SH       SOLE           2    108,000         --       --
SIRONA DENTAL SYSTEMS
   INC                   EQUITY 82966C103        396      15,289 SH       SOLE           1     15,289         --       --
SIRONA DENTAL SYSTEMS
   INC                   EQUITY 82966C103          4         150 SH       DEFINED        5         --         --      150
SIX FLAGS, INC           EQUITY 83001P109         76      65,889 SH       SOLE           1     65,889         --       --
SKECHERS U S A INC       EQUITY 830566105        549      27,800 SH       SOLE           2     27,800         --       --
SKECHERS USA INC. CL-A   EQUITY 830566105        588      29,736 SH       SOLE           1     29,736         --       --
SKILLED HEALTHCARE
   GROUP INC             EQUITY 83066R107        213      15,847 SH       SOLE           1     15,847         --       --
SKYLINE CORP.            EQUITY 830830105        145       6,179 SH       SOLE           1      6,179         --       --
SKYWEST INC              EQUITY 830879102        669      52,860 SH       SOLE           1     52,860         --       --
SKYWEST INC              EQUITY 830879102          4         283 SH       DEFINED        5         --         --      283
SKYWORKS SOLUTIONS INC   EQUITY 83088M102      1,457     147,655 SH       SOLE           1    147,655         --       --
SKYWORKS SOLUTIONS INC   EQUITY 83088M102        345      34,925 SH       DEFINED        5         --         --   34,925
SKYWORKS SOLUTIONS INC
   CALL                  EQUITY 83088M902         20          80     CALL DEFINED        5         --         --       80
SL GREEN REALTY CORP     EQUITY 78440X101     11,310     136,724 SH       SOLE           1    136,724         --       --
SLM CORP                 EQUITY 78442P106      3,808     196,784 SH       SOLE           1    196,784         --       --
SLM CORP                 EQUITY 78442P106         10         531 SH       SOLE           2        531         --       --
SLM CORP                 EQUITY 78442P106          4         200 SH       DEFINED        4         --         --      200
SLM CORP                 EQUITY 78442P106         30       1,575 SH       DEFINED        5         --         --    1,575
SMALL CAP PREM & DIV
   INCM FD               EQUITY 83165P101         52       3,570 SH       DEFINED        5         --         --    3,570
SMART BALANCE INC        EQUITY 83169Y108        409      56,737 SH       SOLE           1     56,737         --       --
SMITH & WESSON HLDG CORP EQUITY 831756101          3         500 SH       DEFINED        5         --         --      500
SMITH & WESSON HOLDING
   CORP                  EQUITY 831756101        177      34,017 SH       SOLE           1     34,017         --       --
SMITH A O                EQUITY 831865209         11         339 SH       DEFINED        5         --         --      339
SMITH INTERNATIONAL,
   INC.                  EQUITY 832110100     14,212     170,936 SH       SOLE           1    170,936         --       --
SMITH INTL INC           EQUITY 832110100         19         228 SH       SOLE           2        228         --       --
SMITH INTL INC           EQUITY 832110100          1          16 SH       DEFINED        4         --         --       16
SMITH INTL INC           EQUITY 832110100         22         265 SH       DEFINED        5         --         --      265
SMITH MICRN SOFTWARE COM EQUITY 832154108      1,081     189,600 SH       SOLE           3     189600         --       --
SMITH MICRO SOFTWARE INC EQUITY 832154108        157      27,552 SH       SOLE           1     27,552         --       --
SMITH, A.O. CORP.        EQUITY 831865209        593      18,077 SH       SOLE           1     18,077         --       --
SMITHFIELD FOODS INC     EQUITY 832248108      5,450     274,165 SH       SOLE           1    274,165         --       --
SMITHFIELD FOODS INC     EQUITY 832248108          1          65 SH       DEFINED        5         --         --       65
SMITHFIELD FOODS INC
   CALL                  EQUITY 832248908          1          10     CALL DEFINED        4         --         --       10





                                                                                
SMITHTOWN BANCORP INC    EQUITY 832449102        145       8,909 SH       SOLE           1      8,909         --       --
SMUCKER J M CO           EQUITY 832696405          5         117 SH       DEFINED        4         --         --      117
SMUCKER J M CO           EQUITY 832696405         53       1,311 SH       DEFINED        5         --         --    1,311
SMURFIT-STONE CONTAINER
   CORP.                 EQUITY 832727101         35       8,477 SH       SOLE           1      8,477         --       --
SNAP ON INC              EQUITY 833034101        518       9,966 SH       SOLE           2      9,966         --       --
SNAP ON INC              EQUITY 833034101         11         211 SH       DEFINED        5         --         --      211
SNAP-ON, INC.            EQUITY 833034101      1,323      25,436 SH       SOLE           1     25,436         --       --
SOCIEDAD QUIMICA MINERA
   DE C                  EQUITY 833635105         10         210 SH       DEFINED        5         --         --      210
SOHU COM                 EQUITY 83408W103      7,706     109,400 SH       SOLE           3      53100         --    56300
SOHU COM INC             EQUITY 83408W103        497       7,050 SH       SOLE           2      7,050         --       --
SOHU COM INC             EQUITY 83408W103        136       1,937 SH       DEFINED        4         --         --    1,937
SOHU.COM INC             EQUITY 83408W103      1,067      15,152 SH       SOLE           1     15,152         --       --
SOLARFUN POWER HOLDINGS
   CO L                  EQUITY 83415U108          4         200 SH       DEFINED        4         --         --      200
SOLARFUN POWER HOLDINGS
   CO L                  EQUITY 83415U108         16         900 SH       DEFINED        5         --         --      900
SOLERA HOLDINGS INC      EQUITY 83421A104      1,293      46,737 SH       SOLE           1     46,737         --       --
SOLUTIA INC              EQUITY 834376501        706      55,044 SH       SOLE           1     55,044         --       --
SOMANETICS CORP          EQUITY 834445405        247      11,646 SH       SOLE           1     11,646         --       --
SONIC AUTOMOTIVE INC     EQUITY 83545G102        304      23,618 SH       SOLE           1     23,618         --       --
SONIC CORP               EQUITY 835451105         17       1,145 SH       DEFINED        4         --         --    1,145
SONIC CORP               EQUITY 835451105         25       1,720 SH       DEFINED        5         --         --    1,720
SONIC CORP.              EQUITY 835451105        803      54,277 SH       SOLE           1     54,277         --       --
SONIC SOLUTIONS          EQUITY 835460106        120      20,076 SH       SOLE           1     20,076         --       --
SONICWALL INC            EQUITY 835470105        336      52,025 SH       SOLE           1     52,025         --       --
SONICWALL INC            EQUITY 835470105          6       1,000 SH       DEFINED        5         --         --    1,000
SONOCO PRODS CO          EQUITY 835495102         36       1,162 SH       DEFINED        5         --         --    1,162
SONOCO PRODUCTS CO.      EQUITY 835495102      7,221     233,297 SH       SOLE           1    233,297         --       --
SONOSIGHT, INC.          EQUITY 83568G104        426      15,222 SH       SOLE           1     15,222         --       --
SONOSITE INC             EQUITY 83568G104        529      18,900 SH       SOLE           2     18,900         --       --
SONOSITE INC             EQUITY 83568G104          8         300 SH       DEFINED        5         --         --      300
SONUS NETWORKS INC       EQUITY 835916107        632     184,705 SH       SOLE           1    184,705         --       --
SONY CORP                EQUITY 835699307          5         122 SH       DEFINED        4         --         --      122
SONY CORP                EQUITY 835699307         27         625 SH       DEFINED        5         --         --      625
SOTHEBYS                 EQUITY 835898107          8         301 SH       DEFINED        5         --         --      301
SOTHEBY'S                EQUITY 835898107      5,712     216,607 SH       SOLE           1    216,607         --       --
SOURCEFIRE INC           EQUITY 83616T108        140      18,133 SH       SOLE           1     18,133         --       --
SOUTH FINANCIAL GROUP
   INC.                  EQUITY 837841105        258      65,915 SH       SOLE           1     65,915         --       --
SOUTH FINL GROUP INC     EQUITY 837841105          1         300 SH       DEFINED        4         --         --      300
SOUTH JERSEY INDS INC    EQUITY 838518108         87       2,338 SH       DEFINED        4         --         --    2,338
SOUTH JERSEY
   INDUSTRIES, INC.      EQUITY 838518108      1,006      26,932 SH       SOLE           1     26,932         --       --
SOUTHERN CO              EQUITY 842587107     10,934     313,122 SH       SOLE           1    313,122         --       --
SOUTHERN CO              EQUITY 842587107      4,863     139,272 SH       SOLE           2    139,272         --       --
SOUTHERN CO              EQUITY 842587107        604      17,295 SH       DEFINED        4         --         --   17,295
SOUTHERN CO              EQUITY 842587107        160       4,585 SH       DEFINED        5         --         --    4,585
SOUTHERN COPPER CORP     EQUITY 84265V105     42,899     402,318 SH       SOLE           1    402,318         --       --
SOUTHERN COPPER CORP     EQUITY 84265V105         52         490 SH       DEFINED        4         --         --      490
SOUTHERN COPPER CORP     EQUITY 84265V105         91         850 SH       DEFINED        5         --         --      850
SOUTHERN COPPER CORP DEL EQUITY 84265V105      4,553      42,700 SH       SOLE           2     42,700         --       --
SOUTHERN UNION CO.       EQUITY 844030106        100       3,694 SH       SOLE           1      3,694         --       --
SOUTHSIDE BANCSHARES INC EQUITY 84470P109        203      10,991 SH       SOLE           1     10,991         --       --
SOUTHWEST AIRLINES CO.   EQUITY 844741108     16,470   1,263,057 SH       SOLE           1  1,263,057         --       --
SOUTHWEST AIRLS CO       EQUITY 844741108         11         832 SH       SOLE           2        832         --       --
SOUTHWEST AIRLS CO       EQUITY 844741108        210      16,070 SH       DEFINED        4         --         --   16,070





                                                                                
SOUTHWEST AIRLS CO       EQUITY 844741108         29       2,196 SH       DEFINED        5         --         --    2,196
SOUTHWEST BANCORP INC    EQUITY 844767103        151      13,160 SH       SOLE           1     13,160         --       --
SOUTHWEST GAS CORP       EQUITY 844895102      1,166      39,204 SH       SOLE           1     39,204         --       --
SOUTHWEST GAS CORP       EQUITY 844895102          4         148 SH       DEFINED        5         --         --      148
SOUTHWEST WTR CO         EQUITY 845331107        222      22,165 SH       SOLE           1     22,165         --       --
SOUTHWEST WTR CO         EQUITY 845331107         14       1,400 SH       DEFINED        4         --         --    1,400
SOUTHWEST WTR CO         EQUITY 845331107          7         700 SH       DEFINED        5         --         --      700
SOUTHWESTERN ENERGY CO   EQUITY 845467109         19         389 SH       SOLE           2        389         --       --
SOUTHWESTERN ENERGY CO   EQUITY 845467109      1,209      25,404 SH       DEFINED        4         --         --   25,404
SOUTHWESTERN ENERGY CO   EQUITY 845467109        233       4,900 SH       DEFINED        5         --         --    4,900
SOUTHWESTERN ENERGY CO.  EQUITY 845467109      7,727     162,308 SH       SOLE           1    162,308         --       --
SOVEREIGN BANCORP INC    EQUITY 845905108          4         545 SH       SOLE           2        545         --       --
SOVEREIGN BANCORP INC    EQUITY 845905108         33       4,474 SH       DEFINED        4         --         --    4,474
SOVEREIGN BANCORP INC    EQUITY 845905108         20       2,714 SH       DEFINED        5         --         --    2,714
SOVEREIGN BANCORP, INC.  EQUITY 845905108      1,547     210,178 SH       SOLE           1    210,178         --       --
SPAIN FD                 EQUITY 846330108          3         300 SH       DEFINED        4         --         --      300
SPAIN FD                 EQUITY 846330108          6         600 SH       DEFINED        5         --         --      600
SPANSION INC             EQUITY 84649R101        260     115,537 SH       SOLE           1    115,537         --       --
SPARTAN MOTORS INC       EQUITY 846819100        219      29,358 SH       SOLE           1     29,358         --       --
SPARTAN STORES INC       EQUITY 846822104        456      19,818 SH       SOLE           1     19,818         --       --
SPARTECH CORP.           EQUITY 847220209        261      27,683 SH       SOLE           1     27,683         --       --
SPDR GOLD TRUST          EQUITY 78463V107      2,107      23,050 SH       DEFINED        4         --         --   23,050
SPDR GOLD TRUST          EQUITY 78463V107        734       8,029 SH       DEFINED        5         --         --    8,029
SPDR GOLD TRUST CALL     EQUITY 78463V907          5           8     CALL DEFINED        5         --         --        8
SPDR INDEX SHS FDS       EQUITY 78463X848        460      12,389 SH       DEFINED        4         --         --   12,389
SPDR INDEX SHS FDS       EQUITY 78463X863        239       5,090 SH       DEFINED        4         --         --    5,090
SPDR INDEX SHS FDS       EQUITY 78463X822         24         569 SH       DEFINED        4         --         --      569
SPDR INDEX SHS FDS       EQUITY 78463X103         27         600 SH       DEFINED        5         --         --      600
SPDR INDEX SHS FDS       EQUITY 78463X798         12         400 SH       DEFINED        5         --         --      400
SPDR INDEX SHS FDS       EQUITY 78463X848         11         300 SH       DEFINED        5         --         --      300
SPDR INDEX SHS FDS       EQUITY 78463X822          4         100 SH       DEFINED        5         --         --      100
SPDR INDEX SHS FDS       EQUITY 78463X863          2          37 SH       DEFINED        5         --         --       37
SPDR SERIES TRUST        EQUITY 78464A656        588      11,257 SH       DEFINED        4         --         --   11,257
SPDR SERIES TRUST        EQUITY 78464A755        817       8,638 SH       DEFINED        4         --         --    8,638
SPDR SERIES TRUST        EQUITY 78464A771         48       1,062 SH       DEFINED        4         --         --    1,062
SPDR SERIES TRUST        EQUITY 78464A607         63         956 SH       DEFINED        4         --         --      956
SPDR SERIES TRUST        EQUITY 78464A805         23         250 SH       DEFINED        4         --         --      250
SPDR SERIES TRUST        EQUITY 78464A409          9         175 SH       DEFINED        4         --         --      175
SPDR SERIES TRUST        EQUITY 78464A797          3         105 SH       DEFINED        4         --         --      105
SPDR SERIES TRUST        EQUITY 78464A821          6         100 SH       DEFINED        4         --         --      100
SPDR SERIES TRUST        EQUITY 78464A730      4,089      58,176 SH       DEFINED        5         --         --   58,176
SPDR SERIES TRUST        EQUITY 78464A458         53       2,429 SH       DEFINED        5         --         --    2,429
SPDR SERIES TRUST        EQUITY 78464A516        115       2,085 SH       DEFINED        5         --         --    2,085
SPDR SERIES TRUST        EQUITY 78464A672         45         805 SH       DEFINED        5         --         --      805
SPDR SERIES TRUST        EQUITY 78464A755         60         636 SH       DEFINED        5         --         --      636
SPDR SERIES TRUST        EQUITY 78464A409         30         558 SH       DEFINED        5         --         --      558
SPDR SERIES TRUST        EQUITY 78464A607         10         153 SH       DEFINED        5         --         --      153
SPDR SERIES TRUST        EQUITY 78464A508          2          23 SH       DEFINED        5         --         --       23
SPDR TR                  EQUITY 78462F103        510       3,989 SH       DEFINED        4         --         --    3,989
SPDR TR                  EQUITY 78462F103        454       3,547 SH       DEFINED        5         --         --    3,547
SPDR TRUST               EQUITY 78462F103        371       2,900 SH       SOLE           2      2,900         --       --
SPECTRA ENERGY CORP      EQUITY 847560109     20,718     720,885 SH       SOLE           1    720,885         --       --





                                                                                
SPECTRA ENERGY CORP      EQUITY 847560109         21         720 SH       SOLE           2        720         --       --
SPECTRA ENERGY CORP      EQUITY 847560109         86       2,996 SH       DEFINED        4         --         --    2,996
SPECTRA ENERGY CORP      EQUITY 847560109        157       5,479 SH       DEFINED        5         --         --    5,479
SPECTRANETICS CORP       EQUITY 84760C107        283      28,665 SH       SOLE           1     28,665         --       --
SPECTRUM BRANDS INC      EQUITY 84762L105         93      36,281 SH       SOLE           1     36,281         --       --
SPEEDWAY MOTORSPORTS     EQUITY 847788106        251      12,334 SH       SOLE           1     12,334         --       --
SPEEDWAY MOTORSPORTSINC  EQUITY 847788106      1,979      97,100 SH       SOLE           2     97,100         --       --
SPHERION CORPORATION     EQUITY 848420105        230      49,696 SH       SOLE           1     49,696         --       --
SPIRIT AEROSYSTEMS
   HLDGS INC             EQUITY 848574109         12         600 SH       DEFINED        5         --         --      600
SPIRIT AEROSYSTEMS
   HOLDINGS INC          EQUITY 848574109         67       3,468 SH       SOLE           1      3,468         --       --
SPRINT NEXTEL CORP       EQUITY 852061100     19,023   2,002,462 SH       SOLE           1  2,002,462         --       --
SPRINT NEXTEL CORP       EQUITY 852061100      1,705   1,793,795 SH       SOLE           2  1,793,795         --       --
SPRINT NEXTEL CORP       EQUITY 852061100          1         107 SH       DEFINED        4         --         --      107
SPRINT NEXTEL CORP       EQUITY 852061100         27       2,828 SH       DEFINED        5         --         --    2,828
SPSS INC                 EQUITY 78462K102        335       9,200 SH       SOLE           2      9,200         --       --
SPSS, INC.               EQUITY 78462K102        588      16,168 SH       SOLE           1     16,168         --       --
SPX CORP                 EQUITY 784635104        491       3,730 SH       DEFINED        5         --         --    3,730
SPX CORP.                EQUITY 784635104     49,895     378,770 SH       SOLE           1    378,770         --       --
SRA INTERNATIONAL CL A   EQUITY 78464R105      3,073     136,819 SH       SOLE           1    136,819         --       --
ST JOE CO                EQUITY 790148100        121       3,525 SH       DEFINED        5         --         --    3,525
ST JUDE MED INC          EQUITY 790849103        871      21,316 SH       SOLE           2     21,316         --       --
ST JUDE MED INC          EQUITY 790849103          6         135 SH       DEFINED        4         --         --      135
ST JUDE MED INC          EQUITY 790849103         27         650 SH       DEFINED        5         --         --      650
ST JUDE MEDICAL, INC.    EQUITY 790849103     18,904     462,415 SH       SOLE           1    462,415         --       --
ST MARY LD & EXPL CO     EQUITY 792228108         26         405 SH       DEFINED        4         --         --      405
ST MARY LD + EXPL CO     EQUITY 792228108        582       9,000 SH       SOLE           2      9,000         --       --
ST. MARY LAND &
   EXPLORATION           EQUITY 792228108        115       1,782 SH       SOLE           1      1,782         --       --
STAGE STORES INC         EQUITY 85254C305        405      34,712 SH       SOLE           1     34,712         --       --
STAMPS.COM INC           EQUITY 852857200        164      13,180 SH       SOLE           1     13,180         --       --
STANCORP FINANCIAL
   GROUP, INC.           EQUITY 852891100      5,660     120,522 SH       SOLE           1    120,522         --       --
STANDARD MICROSYSTEMS
   CORP.                 EQUITY 853626109        553      20,355 SH       SOLE           1     20,355         --       --
STANDARD PARKING CORP    EQUITY 853790103        143       7,875 SH       SOLE           1      7,875         --       --
STANDARD REGISTER CO.    EQUITY 853887107        126      13,413 SH       SOLE           1     13,413         --       --
STANDARD-PACIFIC CORP    EQUITY 85375C101        223      66,065 SH       SOLE           1     66,065         --       --
STANDEX INTERNATIONAL
   CORP.                 EQUITY 854231107        235      11,317 SH       SOLE           1     11,317         --       --
STANLEY INC              EQUITY 854532108        268       8,000 SH       SOLE           1      8,000         --       --
STANLEY WKS              EQUITY 854616109          8         172 SH       DEFINED        4         --         --      172
STANLEY WORKS            EQUITY 854616109      2,773      61,855 SH       SOLE           1     61,855         --       --
STANLEY WORKS            EQUITY 854616109          4          89 SH       SOLE           2         89         --       --
STANTEC INC              EQUITY 85472N109        282      10,906 SH       OTHER          1         --     10,906       --
STAPLES INC              EQUITY 855030102      4,463     187,895 SH       SOLE           2    187,895         --       --
STAPLES INC              EQUITY 855030102          2          75 SH       DEFINED        4         --         --       75
STAPLES INC              EQUITY 855030102          3         118 SH       DEFINED        5         --         --      118
STAPLES, INC.            EQUITY 855030102      9,854     414,920 SH       SOLE           1    414,920         --       --
STAR BULK CARR CORP COM
   (F)                   EQUITY Y8162K105        893      75,700 SH       SOLE           3      75700         --       --
STAR BULK CARRIERS CORP  EQUITY Y8162K105      4,714     399,865 SH       SOLE           2    399,865         --       --
STAR SCIENTIFIC INC      EQUITY 85517P101         72      59,682 SH       SOLE           1     59,682         --       --
STARBUCKS CORP           EQUITY 855244109         13         828 SH       SOLE           2        828         --       --
STARBUCKS CORP           EQUITY 855244109         46       2,900 SH       DEFINED        4         --         --    2,900
STARBUCKS CORP           EQUITY 855244109        345      21,944 SH       DEFINED        5         --         --   21,944
STARBUCKS CORP.          EQUITY 855244109      5,680     360,886 SH       SOLE           1    360,886         --       --
STARENT NETWORKS CORP    EQUITY 85528P108        339      26,938 SH       SOLE           1     26,938         --       --





                                                                                
STARWOOD HOTELS &
   RESORTS WORLDWIDE INC EQUITY 85590A401      3,190      79,619 SH       SOLE           1     79,619         --       --
STARWOOD HOTELS +
   RESORTS               EQUITY 85590A401          8         212 SH       SOLE           2        212         --       --
STATE AUTO FINANCIAL
   CORP.                 EQUITY 855707105        307      12,825 SH       SOLE           1     12,825         --       --
STATE BANCORP INC        EQUITY 855716106        162      12,966 SH       SOLE           1     12,966         --       --
STATE STR CORP           EQUITY 857477103          2          35 SH       DEFINED        4         --         --       35
STATE STR CORP           EQUITY 857477103         20         311 SH       DEFINED        5         --         --      311
STATE STREET CORP.       EQUITY 857477103     25,869     404,260 SH       SOLE           1    404,260         --       --
STATE STREET CORPORATION EQUITY 857477103        520       8,125 SH       SOLE           2      8,125         --       --
STATOILHYDRO ASA         EQUITY 85771P102          1          39 SH       DEFINED        4         --         --       39
STATOILHYDRO ASA         EQUITY 85771P102         26         700 SH       DEFINED        5         --         --      700
STEALTHGAS INC           EQUITY Y81669106      1,416     100,352 SH       SOLE           2    100,352         --       --
STEC INC                 EQUITY 784774101        286      27,807 SH       SOLE           1     27,807         --       --
STEC INC                 EQUITY 784774101        103      10,000 SH       DEFINED        5         --         --   10,000
STEEL DYNAMICS INC       EQUITY 858119100         35         900 SH       DEFINED        4         --         --      900
STEEL DYNAMICS INC       EQUITY 858119100         39       1,000 SH       DEFINED        5         --         --    1,000
STEEL DYNAMICS INC COM   EQUITY 858119100      6,200     158,700 SH       SOLE           3      74200         --    84500
STEEL DYNAMICS, INC.     EQUITY 858119100     17,669     452,244 SH       SOLE           1    452,244         --       --
STEELCASE INC            EQUITY 858155203      1,376     137,200 SH       SOLE           2    137,200         --       --
STEELCASE INC            EQUITY 858155203          7         650 SH       DEFINED        4         --         --      650
STEELCASE INC-CL A       EQUITY 858155203        306      30,464 SH       SOLE           1     30,464         --       --
STEIN MART INC           EQUITY 858375108         28       6,114 SH       DEFINED        4         --         --    6,114
STEIN MART, INC.         EQUITY 858375108        103      22,871 SH       SOLE           1     22,871         --       --
STEINWAY MUSICAL
   INSTRUMENTS           EQUITY 858495104      9,576     362,731 SH       SOLE           1    362,731         --       --
STEPAN CO.               EQUITY 858586100        262       5,742 SH       SOLE           1      5,742         --       --
STEREOTAXIS INC          EQUITY 85916J102        133      24,729 SH       SOLE           1     24,729         --       --
STERICYCLE, INC.         EQUITY 858912108     10,655     206,091 SH       SOLE           1    206,091         --       --
STERIS CORP COM          EQUITY 859152100      5,419     188,434 SH       SOLE           1    188,434         --       --
STERLING BANCORP         EQUITY 859158107        195      16,296 SH       SOLE           1     16,296         --       --
STERLING BANCSHARES,
   INC.                  EQUITY 858907108        602      66,249 SH       SOLE           1     66,249         --       --
STERLING CONSTRUCTION
   CO INC                EQUITY 859241101        207      10,444 SH       SOLE           1     10,444         --       --
STERLING CONSTRUCTION
   CO INC                EQUITY 859241101          4         200 SH       DEFINED        4         --         --      200
STERLING FINL CORP WAS   EQUITY 859319105        195      47,002 SH       SOLE           1     47,002         --       --
STERLITE INDS INDIA LTD  EQUITY 859737207         21       1,295 SH       DEFINED        5         --         --    1,295
STEVEN MADDEN, LTD.      EQUITY 556269108        294      15,990 SH       SOLE           1     15,990         --       --
STEWART ENTERPRISES,
   INC.                  EQUITY 860370105        545      75,753 SH       SOLE           1     75,753         --       --
STEWART INFORMATION
   SERVICES COM          EQUITY 860372101        299      15,463 SH       SOLE           1     15,463         --       --
STIFEL FINANCIAL CORP    EQUITY 860630102        733      21,321 SH       SOLE           1     21,321         --       --
STILLWATER MINING CO.    EQUITY 86074Q102      1,224     103,504 SH       SOLE           1    103,504         --       --
STILLWATER MNG CO        EQUITY 86074Q102          2         150 SH       DEFINED        5         --         --      150
STILLWATER MNG CO COM    EQUITY 86074Q102        418      35,300 SH       SOLE           3      35300         --       --
STONE ENERGY CORP        EQUITY 861642106      1,700      25,789 SH       SOLE           1     25,789         --       --
STONERIDGE, INC.         EQUITY 86183P102        226      13,251 SH       SOLE           1     13,251         --       --
STORM CAT ENERGY CORP    EQUITY 862168101          2       2,000 SH       DEFINED        5         --         --    2,000
STRATASYS INC            EQUITY 862685104        345      18,692 SH       SOLE           1     18,692         --       --
STRATEGIC GLOBAL INCOME
   FD                    EQUITY 862719101         30       2,828 SH       DEFINED        4         --         --    2,828
STRATEGIC HOTELS &
   RESORTS INC           EQUITY 86272T106        632      67,398 SH       SOLE           1     67,398         --       --
STRATUS PROPERTIES INC   EQUITY 863167201         98       5,617 SH       SOLE           1      5,617         --       --
STRAYER ED INC           EQUITY 863236105        774       3,700 SH       SOLE           2      3,700         --       --
STRAYER ED INC COM       EQUITY 863236105      1,317       6,300 SH       SOLE           3       6300         --       --
STRAYER EDUCATION, INC   EQUITY 863236105      8,452      40,427 SH       SOLE           1     40,427         --       --
STRYKER CORP             EQUITY 863667101         17         272 SH       SOLE           2        272         --       --
STRYKER CORP             EQUITY 863667101         19         299 SH       DEFINED        4         --         --      299





                                                                                
STRYKER CORP             EQUITY 863667101        215       3,425 SH       DEFINED        5         --         --    3,425
STRYKER CORP.            EQUITY 863667101     12,233     194,551 SH       SOLE           1    194,551         --       --
STUDENT LOAN CORP.       EQUITY 863902102         13         131 SH       SOLE           1        131         --       --
SUBURBAN PROPANE
   PARTNERS L            EQUITY 864482104         21         550 SH       DEFINED        4         --         --      550
SUBURBAN PROPANE
   PARTNERS L            EQUITY 864482104          8         200 SH       DEFINED        5         --         --      200
SUCAMPO PHARMACEUTICALS
   INC                   EQUITY 864909106         89       8,279 SH       SOLE           1      8,279         --       --
SUCCESSFACTORS INC       EQUITY 864596101        227      20,705 SH       SOLE           1     20,705         --       --
SUFFOLK BANCORP          EQUITY 864739107        255       8,669 SH       SOLE           1      8,669         --       --
SULPHCO INC              EQUITY 865378103        109      48,231 SH       SOLE           1     48,231         --       --
SUN BANCORP INC          EQUITY 86663B102        134      13,218 SH       SOLE           1     13,218         --       --
SUN HEALTHCARE GROUP
   INC - W/I             EQUITY 866933401        522      38,974 SH       SOLE           1     38,974         --       --
SUN HYDRAULICS CORP      EQUITY 866942105        341      10,560 SH       SOLE           1     10,560         --       --
SUN LIFE FINANCIAL INC   EQUITY 866796105      2,885      70,059 SH       OTHER          1         --     70,059       --
SUN LIFE FINL INC        EQUITY 866796105         18         435 SH       DEFINED        4         --         --      435
SUN MICROSYSTEMS INC     EQUITY 866810203      3,955     363,550 SH       SOLE           1    363,550         --       --
SUN MICROSYSTEMS INC     EQUITY 866810203         10         889 SH       SOLE           2        889         --       --
SUN MICROSYSTEMS INC     EQUITY 866810203         23       2,154 SH       DEFINED        5         --         --    2,154
SUNAIR SERVICES CORP     EQUITY 867017105          2         872 SH       DEFINED        5         --         --      872
SUNAMERICA FCSED ALPHA
   GRW F                 EQUITY 867037103         78       5,000 SH       DEFINED        4         --         --    5,000
SUNAMERICA FOCUSE ALPHA
   LC F                  EQUITY 867038101         24       1,500 SH       DEFINED        4         --         --    1,500
SUNCOR ENERGY INC        EQUITY 867229106      1,171      20,144 SH       DEFINED        5         --         --   20,144
SUNCOR ENERGY INC.       EQUITY 867229106     25,222     432,374 SH       OTHER          1         --    432,374       --
SUNOCO INC               EQUITY 86764P109      2,024      49,733 SH       SOLE           1     49,733         --       --
SUNOCO INC               EQUITY 86764P109          5         133 SH       SOLE           2        133         --       --
SUNOCO LOGISTICS PRTNRS
   L P                   EQUITY 86764L108         15         324 SH       DEFINED        4         --         --      324
SUNOCO LOGISTICS PRTNRS
   L P                   EQUITY 86764L108         22         468 SH       DEFINED        5         --         --      468
SUNOPTA INC              EQUITY 8676EP108         10       2,000 SH       DEFINED        4         --         --    2,000
SUNPOWER CORP            EQUITY 867652109         95       1,319 SH       DEFINED        4         --         --    1,319
SUNPOWER CORP            EQUITY 867652109         48         660 SH       DEFINED        5         --         --      660
SUNPOWER CORP-CLASS A    EQUITY 867652109         67         928 SH       SOLE           1        928         --       --
SUNRISE SENIOR LIVING
   INC                   EQUITY 86768K106        914      40,658 SH       SOLE           1     40,658         --       --
SUNRISE SENIOR LIVING
   INC                   EQUITY 86768K106         25       1,125 SH       DEFINED        5         --         --    1,125
SUNSTONE HOTEL
   INVESTORS INC         EQUITY 867892101        883      53,189 SH       SOLE           1     53,189         --       --
SUNSTONE HOTEL INVS INC
   NEW                   EQUITY 867892101        319      19,189 SH       DEFINED        4         --         --   19,189
SUNTECH PWR HLDGS CO LTD EQUITY 86800C104        119       3,170 SH       DEFINED        4         --         --    3,170
SUNTRUST BANKS, INC.     EQUITY 867914103     10,953     302,391 SH       SOLE           1    302,391         --       --
SUNTRUST BKS INC         EQUITY 867914103        272       7,500 SH       SOLE           2      7,500         --       --
SUPER MICRO COMPUTER INC EQUITY 86800U104        148      20,033 SH       SOLE           1     20,033         --       --
SUPERIOR ENERGY
   SERVICES, INC.        EQUITY 868157108     12,382     224,560 SH       SOLE           1    224,560         --       --
SUPERIOR ENERGY SVCS INC EQUITY 868157108        105       1,907 SH       DEFINED        4         --         --    1,907
SUPERIOR ENERGY SVCS INC EQUITY 868157108         61       1,098 SH       DEFINED        5         --         --    1,098
SUPERIOR ESSEX INC       EQUITY 86815V105        802      17,964 SH       SOLE           1     17,964         --       --
SUPERIOR INDUSTRIES
   INTL, INC.            EQUITY 868168105        352      20,878 SH       SOLE           1     20,878         --       --
SUPERIOR WELL SERVICES
   INC                   EQUITY 86837X105        474      14,955 SH       SOLE           1     14,955         --       --
SUPERIOR WELL SVCS INC   EQUITY 86837X105         32       1,000 SH       DEFINED        4         --         --    1,000
SUPERTEX INC             EQUITY 868532102        235      10,052 SH       SOLE           1     10,052         --       --
SUPERVALU INC            EQUITY 868536103        174       5,641 SH       SOLE           2      5,641         --       --
SUPERVALU, INC.          EQUITY 868536103      5,914     191,469 SH       SOLE           1    191,469         --       --
SUPPORTSOFT INC          EQUITY 868587106        136      41,914 SH       SOLE           1     41,914         --       --
SURMODICS INC            EQUITY 868873100        626      13,960 SH       SOLE           1     13,960         --       --
SURMODICS INC            EQUITY 868873100         68       1,510 SH       DEFINED        5         --         --    1,510
SUSQUEHANNA BANCSHARES,
   INC.                  EQUITY 869099101      1,066      77,887 SH       SOLE           1     77,887         --       --





                                                                                
SUSSER HOLDINGS CORP     EQUITY 869233106         68       7,048 SH       SOLE           1      7,048         --       --
SUTOR TECHNOLOGY GROUP
   LTD                   EQUITY 869362103         49       6,911 SH       SOLE           1      6,911         --       --
SVB FINANCIAL GROUP      EQUITY 78486Q101      4,864     101,112 SH       SOLE           1    101,112         --       --
SWIFT ENERGY CO          EQUITY 870738101        396       6,000 SH       SOLE           2      6,000         --       --
SWIFT ENERGY CO.         EQUITY 870738101      1,827      27,662 SH       SOLE           1     27,662         --       --
SWISS HELVETIA FD INC    EQUITY 870875101         13         885 SH       DEFINED        5         --         --      885
SWITCH & DATA
   FACILITIES CO INC     EQUITY 871043105      7,553     444,582 SH       SOLE           1    444,582         --       --
SWS GROUP INC            EQUITY 78503N107        366      22,049 SH       SOLE           1     22,049         --       --
SYBASE INC               EQUITY 871130100        162       5,509 SH       SOLE           2      5,509         --       --
SYBASE, INC.             EQUITY 871130100      7,505     255,115 SH       SOLE           1    255,115         --       --
SYCAMORE NETWORKS, INC   EQUITY 871206108        558     173,206 SH       SOLE           1    173,206         --       --
SYKES ENTERPRISES, INC.  EQUITY 871237103        564      29,879 SH       SOLE           1     29,879         --       --
SYMANTEC CORP            EQUITY 871503108         18         955 SH       SOLE           2        955         --       --
SYMANTEC CORP.           EQUITY 871503108      9,376     484,549 SH       SOLE           1    484,549         --       --
SYMMETRICOM, INC.        EQUITY 871543104        160      41,653 SH       SOLE           1     41,653         --       --
SYMMETRY MEDICAL INC     EQUITY 871546206        521      32,129 SH       SOLE           1     32,129         --       --
SYMS CORP                EQUITY 871551107         82       6,013 SH       SOLE           1      6,013         --       --
SYMX TECHNOLOGIES INC.   EQUITY 87155S108        213      30,465 SH       SOLE           1     30,465         --       --
SYNAPTICS INC            EQUITY 87157D109        775      20,531 SH       SOLE           1     20,531         --       --
SYNAPTICS INC            EQUITY 87157D109        302       8,000 SH       SOLE           2      8,000         --       --
SYNCHRONOSS
   TECHNOLOGIES INC      EQUITY 87157B103        179      19,878 SH       SOLE           1     19,878         --       --
SYNCHRONOSS
   TECHNOLOGIES INC      EQUITY 87157B103          5         600 SH       DEFINED        4         --         --      600
SYNCHRONOSS
   TECHNOLOGIES INC      EQUITY 87157B103          5         500 SH       DEFINED        5         --         --      500
SYNERON MEDICAL LTD      EQUITY M87245102          2         125 SH       DEFINED        5         --         --      125
SYNGENTA AG              EQUITY 87160A100        647      10,000 SH       SOLE           2     10,000         --       --
SYNGENTA AG              EQUITY 87160A100         65       1,004 SH       DEFINED        4         --         --    1,004
SYNIVERSE HOLDINGS INC   EQUITY 87163F106        753      46,477 SH       SOLE           1     46,477         --       --
SYNNEX CORP              EQUITY 87162W100        395      15,761 SH       SOLE           1     15,761         --       --
SYNOPSYS INC             EQUITY 871607107         11         450 SH       DEFINED        5         --         --      450
SYNOPSYS INC.            EQUITY 871607107      8,002     334,821 SH       SOLE           1    334,821         --       --
SYNOVIS LIFE
   TECHNOLOGIES INC      EQUITY 87162G105        212      11,283 SH       SOLE           1     11,283         --       --
SYNOVUS FINANCIAL CORP.  EQUITY 87161C105      6,748     773,012 SH       SOLE           1    773,012         --       --
SYNOVUS FINL CORP        EQUITY 87161C105          5         629 SH       DEFINED        4         --         --      629
SYNOVUS FINL CORP        EQUITY 87161C105        170      19,465 SH       DEFINED        5         --         --   19,465
SYNTA PHARMACEUTICALS    EQUITY 87162T206      7,456   1,222,243 SH       SOLE           1  1,222,243         --       --
SYNTEL, INC.             EQUITY 87162H103        394      11,681 SH       SOLE           1     11,681         --       --
SYNTHESIS ENERGY
   SYSTEMS INC           EQUITY 871628103        157      17,452 SH       SOLE           1     17,452         --       --
SYNTROLEUM CORP          EQUITY 871630109          3       2,000 SH       DEFINED        4         --         --    2,000
SYNUTRA INTERNATIONAL
   INC                   EQUITY 87164C102        304       9,393 SH       SOLE           1      9,393         --       --
SYSCO CORP               EQUITY 871829107      2,792     101,475 SH       SOLE           2    101,475         --       --
SYSCO CORP               EQUITY 871829107         14         501 SH       DEFINED        4         --         --      501
SYSCO CORP               EQUITY 871829107         68       2,484 SH       DEFINED        5         --         --    2,484
SYSCO CORP.              EQUITY 871829107     14,627     531,684 SH       SOLE           1    531,684         --       --
SYSTEMAX INC             EQUITY 871851101        176       9,987 SH       SOLE           1      9,987         --       --
T 3 ENERGY SVCS INC      EQUITY 8.7306E+111      596       7,500 SH       SOLE           2      7,500         --       --
T HQ INC                 EQUITY 872443403        623      30,750 SH       SOLE           2     30,750         --       --
T ROWE PRICE GROUP INC.  EQUITY 74144T108      6,237     110,443 SH       SOLE           1    110,443         --       --
T-3 ENERGY SERVICES INC  EQUITY 8.7306E+111    1,883      23,700 SH       SOLE           1     23,700         --       --
T-3 ENERGY SRVCS INC     EQUITY 8.7306E+111       46         585 SH       DEFINED        5         --         --      585
T-3 ENERGY SRVCS INC COM EQUITY 8.7306E+111    1,875      23,600 SH       SOLE           3      23600         --       --
TAIWAN SEMICONDUCTOR
   MFG LTD               EQUITY 874039100         48       4,416 SH       DEFINED        4         --         --    4,416
TAIWAN SEMICONDUCTOR
   MFG LTD               EQUITY 874039100         55       4,998 SH       DEFINED        5         --         --    4,998





                                                                                
TAKE-TWO INTERACTIVE
   SOFTWAR               EQUITY 874054109         13         500 SH       DEFINED        5         --         --      500
TAKE-TWO INTERACTIVE
   SOFTWARE              EQUITY 874054109      1,780      69,631 SH       SOLE           1     69,631         --       --
TAL INTERNATIONAL GROUP
   INC                   EQUITY 874083108        991      43,599 SH       SOLE           1     43,599         --       --
TALBOTS INC              EQUITY 874161102        257      22,136 SH       SOLE           1     22,136         --       --
TALEO CORP-CLASS A       EQUITY 87424N104        400      20,415 SH       SOLE           1     20,415         --       --
TALISMAN ENERGY INC.     EQUITY 8.7425E+107    7,926     357,325 SH       OTHER          1         --    357,325       --
TANGER FACTORY OUTLET
   CTRS                  EQUITY 875465106      1,027      28,571 SH       SOLE           1     28,571         --       --
TANZANIAN ROYALTY
   EXPLORATION CORP      EQUITY 87600U104         98      22,708 SH       OTHER          1         --     22,708       --
TARGA RESOURCES
   PARTNERS LP           EQUITY 87611X105          5         200 SH       DEFINED        5         --         --      200
TARGACEPT INC            EQUITY 87611R306        119      16,422 SH       SOLE           1     16,422         --       --
TARGET CORP              EQUITY 8.7612E+110    8,546     183,823 SH       SOLE           2    183,823         --       --
TARGET CORP              EQUITY 8.7612E+110       16         336 SH       DEFINED        4         --         --      336
TARGET CORP              EQUITY 8.7612E+110       35         753 SH       DEFINED        5         --         --      753
TARGET CORPORATION       EQUITY 8.7612E+110   25,185     541,728 SH       SOLE           1    541,728         --       --
TASER INTERNATIONAL INC  EQUITY 87651B104        283      56,691 SH       SOLE           1     56,691         --       --
TASER INTL INC           EQUITY 87651B104        185      37,000 SH       DEFINED        5         --         --   37,000
TAUBMAN CENTERS, INC.    EQUITY 876664103     11,453     235,418 SH       SOLE           1    235,418         --       --
TC PIPELINES LP          EQUITY 87233Q108        154       4,371 SH       DEFINED        4         --         --    4,371
TC PIPELINES LP          EQUITY 87233Q108          7         200 SH       DEFINED        5         --         --      200
TCF FINANCIAL CORP.      EQUITY 872275102      3,076     255,691 SH       SOLE           1    255,691         --       --
TD AMERITRADE HLDG CORP  EQUITY 87236Y108        194      10,730 SH       SOLE           2     10,730         --       --
TD AMERITRADE HLDG CORP  EQUITY 87236Y108        291      16,100 SH       DEFINED        5         --         --   16,100
TD AMERITRADE HOLDING
   CORP                  EQUITY 87236Y108      3,158     174,546 SH       SOLE           1    174,546         --       --
TEAM INC                 EQUITY 878155100        574      16,721 SH       SOLE           1     16,721         --       --
TEAM INC                 EQUITY 878155100          8         223 SH       DEFINED        5         --         --      223
TECH DATA CORP.          EQUITY 878237106      4,202     123,976 SH       SOLE           1    123,976         --       --
TECHE CORP.              EQUITY 878377100      6,987      90,289 SH       SOLE           1     90,289         --       --
TECHNE CORP              EQUITY 878377100        758       9,800 SH       SOLE           2      9,800         --       --
TECHNE CORP              EQUITY 878377100         31         400 SH       DEFINED        4         --         --      400
TECHNITROL, INC.         EQUITY 878555101        630      37,074 SH       SOLE           1     37,074         --       --
TECHTARGET INC           EQUITY 87874R100        133      12,603 SH       SOLE           1     12,603         --       --
TECHWELL INC             EQUITY 87874D101        171      13,901 SH       SOLE           1     13,901         --       --
TECHWELL INC             EQUITY 87874D101        123      10,000 SH       DEFINED        5         --         --   10,000
TECK COMINCO LTD         EQUITY 878742204      3,260      67,544 SH       OTHER          1         --     67,544       --
TECK COMINCO LTD         EQUITY 878742204         14         300 SH       DEFINED        5         --         --      300
TECK COMINICO LTD        EQUITY 878742204        623      13,000 SH       SOLE           2     13,000         --       --
TECO ENERGY INC          EQUITY 872375100          5         240 SH       SOLE           2        240         --       --
TECO ENERGY INC          EQUITY 872375100         39       1,820 SH       DEFINED        4         --         --    1,820
TECO ENERGY INC          EQUITY 872375100          2         100 SH       DEFINED        5         --         --      100
TECO ENERGY, INC.        EQUITY 872375100      1,997      92,943 SH       SOLE           1     92,943         --       --
TECUMSEH PRODUCTS CO.
   CLASS A               EQUITY 878895200        484      14,765 SH       SOLE           1     14,765         --       --
TEEKAY LNG PARTNERS L P  EQUITY Y8564M105          2          89 SH       DEFINED        4         --         --       89
TEJON RANCH CO.          EQUITY 879080109        364      10,082 SH       SOLE           1     10,082         --       --
TEKELEC                  EQUITY 879101103        869      59,075 SH       SOLE           1     59,075         --       --
TEKELEC                  EQUITY 879101103          6         400 SH       DEFINED        4         --         --      400
TELECOM CORP NEW
   ZEALAND LTD           EQUITY 879278208         19       1,422 SH       DEFINED        5         --         --    1,422
TELECOM HLDRS TR         EQUITY 87927P200         64       2,100 SH       DEFINED        5         --         --    2,100
TELECOMMUNICATION
   SYSTEMS INC           EQUITY 87929J103        141      30,483 SH       SOLE           1     30,483         --       --
TELEDYNE TECHNOLOGIES
   INC                   EQUITY 879360105        537      11,000 SH       SOLE           2     11,000         --       --
TELEDYNE TECHOLOGIES INC EQUITY 879360105      1,566      32,103 SH       SOLE           1     32,103         --       --
TELEFLEX INC.            EQUITY 879369106      5,165      92,912 SH       SOLE           1     92,912         --       --
TELEFONICA S A           EQUITY 879382208          5          60 SH       DEFINED        4         --         --       60





                                                                                
TELEFONOS DE MEXICO S A
   B                     EQUITY 879403780         97       4,088 SH       DEFINED        5         --         --    4,088
TELEFONOS DE MEXICO S A
   B                     EQUITY 879403707         72       3,000 SH       DEFINED        5         --         --    3,000
TELEPHONE AND DATA
   SYSTEMS               EQUITY 879433100     11,765     248,898 SH       SOLE           1    248,898         --       --
TELETECH HOLDINGS        EQUITY 879939106        706      35,391 SH       SOLE           1     35,391         --       --
TELLABS INC              EQUITY 879664100          2         452 SH       SOLE           2        452         --       --
TELLABS INC              EQUITY 879664100          5       1,006 SH       DEFINED        5         --         --    1,006
TELLABS, INC.            EQUITY 879664100        816     175,420 SH       SOLE           1    175,420         --       --
TELMEX INTERNACIONAL
   SAB DE                EQUITY 879690105         66       4,088 SH       DEFINED        5         --         --    4,088
TELMEX INTERNACIONAL
   SAB DE                EQUITY 879690204         48       3,000 SH       DEFINED        5         --         --    3,000
TELMEX INTERNACIONAL
   SAB DE CV             EQUITY 879690105      6,785     421,447 SH       SOLE           1    421,447         --       --
TELUS CORPORATION-NON
   VOTE                  EQUITY 87971M202        288       7,151 SH       OTHER          1         --      7,151       --
TEMPLE-INLAND INC.       EQUITY 879868107      2,806     249,019 SH       SOLE           1    249,019         --       --
TEMPLETON DRAGON FD INC  EQUITY 88018T101          5         200 SH       DEFINED        4         --         --      200
TEMPLETON DRAGON FD INC  EQUITY 88018T101         37       1,500 SH       DEFINED        5         --         --    1,500
TEMPLETON EMERG MKTS
   INCOME                EQUITY 880192109         16       1,150 SH       DEFINED        4         --         --    1,150
TEMPLETON EMERG MKTS
   INCOME                EQUITY 880192109         55       4,038 SH       DEFINED        5         --         --    4,038
TEMPLETON GLOBAL INCOME
   FD                    EQUITY 880198106      2,370     267,151 SH       DEFINED        4         --         --  267,151
TEMPLETON GLOBAL INCOME
   FD                    EQUITY 880198106         31       3,500 SH       DEFINED        5         --         --    3,500
TEMPUR PEDIC INTL INC    EQUITY 88023U101          2         250 SH       DEFINED        4         --         --      250
TEMPUR-PEDIC
   INTERNATIONAL INC     EQUITY 88023U101        528      67,646 SH       SOLE           1     67,646         --       --
TENARIS SA               EQUITY 88031M109     19,050     255,704 SH       SOLE           1    255,704         --       --
TENET HEALTHCARE CORP    EQUITY 88033G100          3         545 SH       SOLE           2        545         --       --
TENET HEALTHCARE CORP    EQUITY 88033G100          1         269 SH       DEFINED        5         --         --      269
TENET HEALTHCARE CORP.   EQUITY 88033G100      2,949     530,372 SH       SOLE           1    530,372         --       --
TENNANT CO.              EQUITY 880345103        452      15,035 SH       SOLE           1     15,035         --       --
TENNECO INC              EQUITY 880349105        571      42,215 SH       SOLE           1     42,215         --       --
TEPPCO PARTNERS L P      EQUITY 872384102         42       1,276 SH       DEFINED        4         --         --    1,276
TEPPCO PARTNERS L P      EQUITY 872384102        377      11,371 SH       DEFINED        5         --         --   11,371
TERADATA CORP            EQUITY 88076W103      1,793      77,478 SH       SOLE           1     77,478         --       --
TERADATA CORP            EQUITY 88076W103          5         204 SH       SOLE           2        204         --       --
TERADATA CORP DEL        EQUITY 88076W103          6         274 SH       DEFINED        5         --         --      274
TERADYNE INC             EQUITY 880770102      1,316     118,895 SH       SOLE           2    118,895         --       --
TERADYNE, INC.           EQUITY 880770102        827      74,741 SH       SOLE           1     74,741         --       --
TERCICA INC              EQUITY 88078L105        136      15,420 SH       SOLE           1     15,420         --       --
TEREX CORP NEW           EQUITY 880779103        339       6,601 SH       DEFINED        4         --         --    6,601
TEREX CORP NEW           EQUITY 880779103         94       1,829 SH       DEFINED        5         --         --    1,829
TEREX CORP.              EQUITY 880779103      2,225      43,307 SH       SOLE           1     43,307         --       --
TERRA INDS INC           EQUITY 880915103        168       3,400 SH       SOLE           2      3,400         --       --
TERRA INDS INC           EQUITY 880915103          1          22 SH       DEFINED        4         --         --       22
TERRA INDUSTRIES, INC.   EQUITY 880915103     10,527     213,303 SH       SOLE           1    213,303         --       --
TERREMARK WORLDWIDE INC  EQUITY 881448203        261      47,877 SH       SOLE           1     47,877         --       --
TERRESTAR CORP           EQUITY 881451108        210      52,663 SH       SOLE           1     52,663         --       --
TESORO CORP              EQUITY 881609101      1,176      59,494 SH       SOLE           1     59,494         --       --
TESORO CORP              EQUITY 881609101          3         157 SH       SOLE           2        157         --       --
TESORO CORP              EQUITY 881609101         75       3,800 SH       DEFINED        5         --         --    3,800
TESSERA TECHNOLOGIES INC EQUITY 88164L100        717      43,806 SH       SOLE           1     43,806         --       --
TESSERA TECHNOLOGIES INC EQUITY 88164L100        339      20,700 SH       SOLE           2     20,700         --       --
TETRA TECH INC NEW       EQUITY 88162G103         12         550 SH       DEFINED        5         --         --      550
TETRA TECH, INC.         EQUITY 88162G103      1,206      53,308 SH       SOLE           1     53,308         --       --
TETRA TECHNOLOGIES, INC. EQUITY 88162F105         41       1,717 SH       SOLE           1      1,717         --       --
TEVA PHARMACEUTICAL ADR  EQUITY 881624209     59,765   1,304,910 SH       SOLE           1  1,304,910         --       --
TEVA PHARMACEUTICAL
   INDS L                EQUITY 881624209        632      13,800 SH       SOLE           2     13,800         --       --





                                                                                
TEVA PHARMACEUTICAL
   INDS LTD              EQUITY 881624209         11         232 SH       DEFINED        4         --         --      232
TEVA PHARMACEUTICAL
   INDS LTD              EQUITY 881624209         97       2,122 SH       DEFINED        5         --         --    2,122
TEXAS CAPITAL
   BANCSHARES INC        EQUITY 88224Q107        346      21,633 SH       SOLE           1     21,633         --       --
TEXAS INDUSTRIES, INC.   EQUITY 882491103      1,188      21,162 SH       SOLE           1     21,162         --       --
TEXAS INSTRS INC         EQUITY 882508104      5,939     210,889 SH       SOLE           2    210,889         --       --
TEXAS INSTRS INC         EQUITY 882508104         59       2,113 SH       DEFINED        4         --         --    2,113
TEXAS INSTRS INC         EQUITY 882508104        169       6,014 SH       DEFINED        5         --         --    6,014
TEXAS INSTRUMENTS, INC.  EQUITY 882508104     15,012     533,094 SH       SOLE           1    533,094         --       --
TEXAS ROADHOUSE
   INC-CLASS A           EQUITY 882681109        425      47,432 SH       SOLE           1     47,432         --       --
TEXTRON FINANCIAL CORP   EQUITY 883203101      5,101     106,420 SH       SOLE           1    106,420         --       --
TEXTRON INC              EQUITY 883203101         14         283 SH       SOLE           2        283         --       --
TEXTRON INC              EQUITY 883203101        122       2,554 SH       DEFINED        5         --         --    2,554
TFS FINANCIAL CORP       EQUITY 87240R107         40       3,446 SH       SOLE           1      3,446         --       --
THE HERSHEY COMPANY      EQUITY 427866108      8,521     259,944 SH       SOLE           1    259,944         --       --
THE ST JOE COMPANY       EQUITY 790148100         78       2,278 SH       SOLE           1      2,278         --       --
THE STEAK N SHAKE
   COMPANY               EQUITY 857873103        165      26,007 SH       SOLE           1     26,007         --       --
THERAVANCE INC           EQUITY 88338T104      1,407     118,558 SH       SOLE           1    118,558         --       --
THERMADYNE HOLDINGS CORP EQUITY 883435307        179      12,117 SH       SOLE           1     12,117         --       --
THERMO FISHER CORP       EQUITY 883556102     45,682     819,701 SH       SOLE           1    819,701         --       --
THERMO FISHER
   SCIENTIFIC I          EQUITY 883556102      7,692     138,025 SH       SOLE           2    138,025         --       --
THERMO FISHER
   SCIENTIFIC INC        EQUITY 883556102         13         225 SH       DEFINED        4         --         --      225
THERMO FISHER
   SCIENTIFIC INC        EQUITY 883556102         58       1,033 SH       DEFINED        5         --         --    1,033
THESTREET COM            EQUITY 88368Q103          1         200 SH       DEFINED        5         --         --      200
THESTREET.COM INC.       EQUITY 88368Q103        107      16,494 SH       SOLE           1     16,494         --       --
THINKORSWIM GROUP INC    EQUITY 88409C105        332      47,147 SH       SOLE           1     47,147         --       --
THIRD WAVE TECHNOLOGIES  EQUITY 88428W108      1,696     151,930 SH       SOLE           1    151,930         --       --
THOMAS & BETTS CORP.     EQUITY 884315102      4,551     120,226 SH       SOLE           1    120,226         --       --
THOMAS PROPERTIES GROUP
   INC                   EQUITY 884453101        213      21,604 SH       SOLE           1     21,604         --       --
THOMAS WEISEL PARTNERS
   GROUP INC             EQUITY 884481102        302      55,239 SH       SOLE           1     55,239         --       --
THOMPSON CREEK METALS
   CO INC                EQUITY 884768102      1,534      78,531 SH       OTHER          1         --     78,531       --
THOMSON REUTERS CORP     EQUITY 884903105        275       8,483 SH       OTHER          1         --      8,483       --
THOR INDS INC            EQUITY 885160101        109       5,134 SH       DEFINED        4         --         --    5,134
THOR INDUSTRIES, INC.    EQUITY 885160101      1,721      80,973 SH       SOLE           1     80,973         --       --
THORATEC LABORATORIES
   CORP.                 EQUITY 885175307        858      49,347 SH       SOLE           1     49,347         --       --
THORNBURG MTG INC        EQUITY 885218107          4      18,913 SH       DEFINED        5         --         --   18,913
THQ INC                  EQUITY 872443403      1,223      60,382 SH       SOLE           1     60,382         --       --
TIBCO SOFTWARE INC       EQUITY 88632Q103      1,292     168,899 SH       SOLE           1    168,899         --       --
TIDEWATER INC            EQUITY 886423102          2          25 SH       DEFINED        4         --         --       25
TIDEWATER INC            EQUITY 886423102         15         227 SH       DEFINED        5         --         --      227
TIDEWATER, INC.          EQUITY 886423102      7,850     120,706 SH       SOLE           1    120,706         --       --
TIFFANY & CO NEW         EQUITY 886547108         45       1,107 SH       DEFINED        5         --         --    1,107
TIFFANY & CO.            EQUITY 886547108      2,640      64,785 SH       SOLE           1     64,785         --       --
TIFFANY + CO NEW         EQUITY 886547108         95       2,343 SH       SOLE           2      2,343         --       --
TIM HORTONS INC          EQUITY 88706M103         23         790 SH       DEFINED        5         --         --      790
TIM HORTONS INC - CAD    EQUITY 88706M103        795      27,636 SH       OTHER          1         --     27,636       --
TIMBERLAND CO            EQUITY 887100105         79       4,803 SH       DEFINED        4         --         --    4,803
TIMBERLAND COMPANY       EQUITY 887100105      2,531     154,797 SH       SOLE           1    154,797         --       --
TIME WARNER CABLE INC    EQUITY 88732J108      8,844     333,996 SH       SOLE           1    333,996         --       --
TIME WARNER INC          EQUITY 887317105     34,506   2,331,469 SH       SOLE           1  2,331,469         --       --
TIME WARNER INC          EQUITY 887317105         10         686 SH       DEFINED        4         --         --      686
TIME WARNER INC          EQUITY 887317105        147       9,926 SH       DEFINED        5         --         --    9,926
TIME WARNER INC NEW      EQUITY 887317105      9,770     809,909 SH       SOLE           2    809,909         --       --





                                                                                
TIMKEN CO.               EQUITY 887389104      7,401     224,694 SH       SOLE           1    224,694         --       --
TITAN INTERNATIONAL INC  EQUITY 88830M102        885      24,857 SH       SOLE           1     24,857         --       --
TITAN MACHINERY INC      EQUITY 88830R101      2,084      66,528 SH       SOLE           1     66,528         --       --
TITAN MACHY INC COM      EQUITY 88830R101      3,708     118,400 SH       SOLE           3     118400         --       --
TITANIUM METALS CORP     EQUITY 888339207          2         111 SH       SOLE           2        111         --       --
TITANIUM METALS
   CORPORATION           EQUITY 888339207        582      41,599 SH       SOLE           1     41,599         --       --
TIVO INC                 EQUITY 888706108        570      92,310 SH       SOLE           1     92,310         --       --
TIVO INC                 EQUITY 888706108        139      22,500 SH       SOLE           2     22,500         --       --
TJX COMPANIES, INC.      EQUITY 872540109     16,854     535,548 SH       SOLE           1    535,548         --       --
TJX COS INC NEW          EQUITY 872540109        213       6,783 SH       SOLE           2      6,783         --       --
TJX COS INC NEW          EQUITY 872540109         44       1,414 SH       DEFINED        5         --         --    1,414
TNS INC                  EQUITY 872960109        531      22,160 SH       SOLE           1     22,160         --       --
TOLL BROS INC            EQUITY 889478103         32       1,700 SH       SOLE           2      1,700         --       --
TOLL BROTHERS, INC.      EQUITY 889478103      5,922     316,162 SH       SOLE           1    316,162         --       --
TOMOTHERAPY INC          EQUITY 890088107        331      37,087 SH       SOLE           1     37,087         --       --
TOMOTHERAPY INC          EQUITY 890088107      1,530     171,362 SH       SOLE           2    171,362         --       --
TOMPKINS FINANCIAL CORP  EQUITY 890110109        195       5,243 SH       SOLE           1      5,243         --       --
TOOTSIE ROLL
   INDUSTRIES, INC.      EQUITY 890516107      2,111      83,996 SH       SOLE           1     83,996         --       --
TOP SHIPS INC            EQUITY Y8897Y305      1,105     172,623 SH       SOLE           2    172,623         --       --
TORCHMARK CORP.          EQUITY 891027104      6,692     114,097 SH       SOLE           1    114,097         --       --
TORCHMARK INC            EQUITY 891027104          6         102 SH       SOLE           2        102         --       --
TOREADOR RESOURCES CORP  EQUITY 891050106        131      15,315 SH       SOLE           1     15,315         --       --
TORO CO.                 EQUITY 891092108         66       1,992 SH       SOLE           1      1,992         --       --
TORONTO DOMINION BK      EQUITY 891160509      8,547     136,263 SH       OTHER          1         --    136,263       --
TORONTO DOMINION BK ONT  EQUITY 891160509         28         455 SH       DEFINED        5         --         --      455
TOTAL S A                EQUITY 8.9151E+113        3          41 SH       DEFINED        4         --         --       41
TOTAL S A                EQUITY 8.9151E+113       14         165 SH       DEFINED        5         --         --      165
TOTAL SYS SVCS INC       EQUITY 891906109          5         225 SH       SOLE           2        225         --       --
TOTAL SYS SVCS INC       EQUITY 891906109        185       8,307 SH       DEFINED        4         --         --    8,307
TOTAL SYS SVCS INC       EQUITY 891906109         40       1,805 SH       DEFINED        5         --         --    1,805
TOTAL SYSTEM SERVICE     EQUITY 891906109      1,833      82,503 SH       SOLE           1     82,503         --       --
TOWER GROUP INC          EQUITY 891777104        388      18,299 SH       SOLE           1     18,299         --       --
TOWN SPORTS
   INTERNATIONAL
   HOLDINGS INC          EQUITY 89214A102        148      15,846 SH       SOLE           1     15,846         --       --
TOWNEBANK/PORTSMOUTH VA  EQUITY 89214P109        283      18,804 SH       SOLE           1     18,804         --       --
TOYOTA MOTOR CORP        EQUITY 892331307         31         330 SH       DEFINED        4         --         --      330
TOYOTA MOTOR CORP        EQUITY 892331307         23         242 SH       DEFINED        5         --         --      242
TRACTOR SUPPLY CO        EQUITY 892356106        877      30,183 SH       SOLE           1     30,183         --       --
TRADESTATION GROUP INC   EQUITY 89267P105        295      29,109 SH       SOLE           1     29,109         --       --
TRANS1 INC               EQUITY 89385X105        167      11,051 SH       SOLE           1     11,051         --       --
TRANSACT TECHNOLOGIES
   COM                   EQUITY 892918103      1,404     169,600 SH       SOLE           3     169600         --       --
TRANSALTA CORP           EQUITY 89346D107        294       8,107 SH       OTHER          1         --      8,107       --
TRANSATLANTIC HLDGS INC  EQUITY 893521104  2,207,563  39,092,662 SH       SOLE           1 39,092,662         --       --
TRANSATLANTIC HLDGS INC  EQUITY 893521104          5          96 SH       DEFINED        5         --         --       96
TRANSCANADA CORP         EQUITY 89353D107      1,993      51,235 SH       OTHER          1         --     51,235       --
TRANSCANADA CORP         EQUITY 89353D107         21         550 SH       DEFINED        4         --         --      550
TRANSCANADA CORP         EQUITY 89353D107         65       1,681 SH       DEFINED        5         --         --    1,681
TRANSCEND SERVICES INC   EQUITY 893929208          4         500 SH       DEFINED        5         --         --      500
TRANSCEND SERVICES INC
   COM NEW               EQUITY 893929208        967     108,400 SH       SOLE           3     108400         --       --
TRANSCONTINENTAL RLTY
   INVS                  EQUITY 893617209          3         222 SH       DEFINED        4         --         --      222
TRANSDIGM GROUP INC      EQUITY 893641100      1,011      30,103 SH       SOLE           1     30,103         --       --
TRANSDIGM GROUP INC      EQUITY 893641100        134       4,000 SH       SOLE           2      4,000         --       --
TRANSMERIDIAN
   EXPLORATION INC       EQUITY 89376N108         67     110,065 SH       SOLE           1    110,065         --       --





                                                                                
TRANSOCEAN INC           EQUITY G90073100      6,982     169,976 SH       SOLE           2    169,976         --       --
TRANSOCEAN INC NEW       EQUITY G90073100        144         943 SH       DEFINED        4         --         --      943
TRANSOCEAN INC NEW       EQUITY G90073100        193       1,269 SH       DEFINED        5         --         --    1,269
TRAVELCENTERS OF
   AMERICA LLC           EQUITY 894174101          2       1,040 SH       DEFINED        5         --         --    1,040
TRAVELERS COMPANIES INC  EQUITY 8.9417E+113       15         357 SH       DEFINED        4         --         --      357
TRAVELERS COMPANIES INC  EQUITY 8.9417E+113        1          28 SH       DEFINED        5         --         --       28
TRAVELERS COS INC        EQUITY 8.9417E+113      576     125,988 SH       SOLE           2    125,988         --       --
TRAVELERS COS INC/THE    EQUITY 8.9417E+113   53,496   1,232,636 SH       SOLE           1  1,232,636         --       --
TREDEGAR CORP.           EQUITY 894650100        321      21,810 SH       SOLE           1     21,810         --       --
TREEHOUSE FOODS INC      EQUITY 89469A104        686      28,267 SH       SOLE           1     28,267         --       --
TREX COMPANY, INC.       EQUITY 89531P105        161      13,754 SH       SOLE           1     13,754         --       --
TRI CONTL CORP           EQUITY 895436103         76       4,620 SH       DEFINED        5         --         --    4,620
TRIARC COS-B             EQUITY 895927309        358      56,496 SH       SOLE           1     56,496         --       --
TRICO BANCSHARES         EQUITY 896095106        138      12,565 SH       SOLE           1     12,565         --       --
TRICO MARINE SERVICES
   INC                   EQUITY 896106200      8,532     229,922 SH       SOLE           1    229,922         --       --
TRICO MARINE SVCS INC
   COM NEW               EQUITY 896106200      1,905      52,300 SH       SOLE           3      52300         --       --
TRIDENT MICROSYSTEMS INC EQUITY 895919108        202      55,258 SH       SOLE           1     55,258         --       --
TRIMAS CORP              EQUITY 896215209         79      13,256 SH       SOLE           1     13,256         --       --
TRIMBLE NAVIGATION LTD.  EQUITY 896239100     10,096     282,793 SH       SOLE           1    282,793         --       --
TRINITY INDS INC         EQUITY 896522109      1,735      50,000 SH       SOLE           2     50,000         --       --
TRINITY INDS INC         EQUITY 896522109         21         600 SH       DEFINED        4         --         --      600
TRINITY INDS INC         EQUITY 896522109        102       2,950 SH       DEFINED        5         --         --    2,950
TRINITY INDUSTRIES, INC. EQUITY 896522109      6,584     189,782 SH       SOLE           1    189,782         --       --
TRIPLE-S MANAGEMENT CORP EQUITY 896749108        210      12,849 SH       SOLE           1     12,849         --       --
TRIPLE-S MGMT CORP       EQUITY 896749108          3         200 SH       DEFINED        5         --         --      200
TRIQUINT SEMICONDUCTOR,
   INC.                  EQUITY 89674K103      2,795     461,247 SH       SOLE           1    461,247         --       --
TRIUMPH GROUP, INC.      EQUITY 896818101        705      14,968 SH       SOLE           1     14,968         --       --
TRI-VALLEY CORP          EQUITY 895735108        151      20,306 SH       SOLE           1     20,306         --       --
TRIZETTO GROUP INC       EQUITY 896882107     10,029     469,065 SH       SOLE           1    469,065         --       --
TRUE RELIGION APPAREL
   COM                   EQUITY 89784N104      3,425     128,500 SH       SOLE           3     128500         --       --
TRUE RELIGION APPAREL
   INC                   EQUITY 89784N104      2,213      83,052 SH       SOLE           1     83,052         --       --
TRUEBLUE INC             EQUITY 89785X101        530      40,148 SH       SOLE           1     40,148         --       --
TRUSTCO BANK CORP. NY    EQUITY 898349105        509      68,553 SH       SOLE           1     68,553         --       --
TRUSTMARK CORP.          EQUITY 898402102        791      44,844 SH       SOLE           1     44,844         --       --
TRW AUTOMOTIVE HOLDINGS
   CORP                  EQUITY 87264S106         31       1,663 SH       SOLE           1      1,663         --       --
TTM TECHONOLOGIES        EQUITY 87305R109        511      38,661 SH       SOLE           1     38,661         --       --
TUESDAY MORNING CORP     EQUITY 899035505         65      15,700 SH       DEFINED        5         --         --   15,700
TUESDAY MORNING
   CORPORATION           EQUITY 899035505        113      27,421 SH       SOLE           1     27,421         --       --
TUPPERWARE BRANDS CORP   EQUITY 899896104        666      19,450 SH       SOLE           2     19,450         --       --
TUPPERWARE BRANDS CORP   EQUITY 899896104          7         200 SH       DEFINED        5         --         --      200
TUPPERWARE BRANDS CORP.  EQUITY 899896104      6,825     199,447 SH       SOLE           1    199,447         --       --
TURBOCHEF TECHNOLOGIES
   INC                   EQUITY 900006206        102      21,378 SH       SOLE           1     21,378         --       --
TURKCELL ILETISIM
   HIZMETLERI            EQUITY 900111204          3         200 SH       DEFINED        5         --         --      200
TVI CORP NEW             EQUITY 872916101          1       3,123 SH       DEFINED        5         --         --    3,123
TWEEN BRANDS INC         EQUITY 901166108        370      22,466 SH       SOLE           1     22,466         --       --
TWIN DISC INC            EQUITY 901476101        165       7,889 SH       SOLE           1      7,889         --       --
TXCO RES INC             EQUITY 87311M102      3,750     318,900 SH       SOLE           2    318,900         --       --
TXCO RESOURCES INC       EQUITY 87311M102        373      31,746 SH       SOLE           1     31,746         --       --
TYCO ELECTRONICS LTD     EQUITY G9144P105      3,600     100,493 SH       SOLE           2    100,493         --       --
TYCO ELECTRONICS LTD     EQUITY G9144P105         38       1,052 SH       DEFINED        4         --         --    1,052
TYCO ELECTRONICS LTD     EQUITY G9144P105        342       9,546 SH       DEFINED        5         --         --    9,546
TYCO INTERNATIONAL LTD
   BER                   EQUITY G9143X208         22         548 SH       SOLE           2        548         --       --





                                                                                
TYCO INTL LTD BERMUDA    EQUITY G9143X208         48       1,206 SH       DEFINED        4         --         --    1,206
TYCO INTL LTD BERMUDA    EQUITY G9143X208         28         696 SH       DEFINED        5         --         --      696
TYLER TECHNOLOGIES INC   EQUITY 902252105        467      34,435 SH       SOLE           1     34,435         --       --
TYSON FOODS INC          EQUITY 902494103         16       1,100 SH       DEFINED        5         --         --    1,100
TYSON FOODS INC (DEL)    EQUITY 902494103          5         311 SH       SOLE           2        311         --       --
TYSON FOODS, INC. CLASS
   A                     EQUITY 902494103      1,802     120,595 SH       SOLE           1    120,595         --       --
U S G CORP               EQUITY 903293405         10         333 SH       DEFINED        4         --         --      333
U S G CORP               EQUITY 903293405        275       9,300 SH       DEFINED        5         --         --    9,300
U S GEOTHERMAL INC       EQUITY 90338S102          3       1,000 SH       DEFINED        5         --         --    1,000
U.S. BANCORP, INC.       EQUITY 902973304     38,703   1,387,715 SH       SOLE           1  1,387,715         --       --
UAL CORP                 EQUITY 902549807        850     162,930 SH       SOLE           1    162,930         --       --
UCBH HOLDINGS INC        EQUITY 90262T308        225     100,064 SH       SOLE           1    100,064         --       --
UGI CORP NEW             EQUITY 902681105        465      16,200 SH       SOLE           2     16,200         --       --
UGI CORP NEW             EQUITY 902681105          3         120 SH       DEFINED        4         --         --      120
UGI CORP.                EQUITY 902681105        102       3,543 SH       SOLE           1      3,543         --       --
UIL HLDG CORP            EQUITY 902748102          5         166 SH       DEFINED        5         --         --      166
UIL HOLDINGS CORP.       EQUITY 902748102        672      22,841 SH       SOLE           1     22,841         --       --
ULTA SALON COSMETICS &
   FRAGRANCE INC         EQUITY 90384S303        207      18,384 SH       SOLE           1     18,384         --       --
ULTA SALON, COSMETICS &
   FRAGRA                EQUITY 90384s303      1,126     100,200 SH       SOLE           3     100200         --       --
ULTIMATE SOFTWARE GROUP
   INC                   EQUITY 90385D107        794      22,287 SH       SOLE           1     22,287         --       --
ULTRA CLEAN HLDGS INC    EQUITY 90385V107        262      32,880 SH       DEFINED        4         --         --   32,880
ULTRA CLEAN HOLDINGS     EQUITY 90385V107        140      17,602 SH       SOLE           1     17,602         --       --
ULTRA PETE CORP          EQUITY 903914109      2,219      22,600 SH       SOLE           2     22,600         --       --
ULTRA PETROLEUM CORP     EQUITY 903914109         20         200 SH       DEFINED        5         --         --      200
ULTRALIFE BATTERIES COM  EQUITY 903899102        884      82,700 SH       SOLE           3      82700         --       --
ULTRALIFE BATTERIES INC  EQUITY 903899102        122      11,376 SH       SOLE           1     11,376         --       --
ULTRATECH , INC.         EQUITY 904034105        329      21,172 SH       SOLE           1     21,172         --       --
UMB FINANCIAL CORP.      EQUITY 902788108      1,443      28,141 SH       SOLE           1     28,141         --       --
UMPQUA HLDGS CORP        EQUITY 904214103         12       1,000 SH       DEFINED        5         --         --    1,000
UMPQUA HOLDINGS CORP     EQUITY 904214103        660      54,423 SH       SOLE           1     54,423         --       --
UNDER ARMOUR INC         EQUITY 904311107          8         300 SH       DEFINED        5         --         --      300
UNDER ARMOUR INC-CLASS A EQUITY 904311107      2,914     113,645 SH       SOLE           1    113,645         --       --
UNIBANCO - SPONSORED GDR EQUITY 9.0458E+111   64,417     507,502 SH       SOLE           1    507,502         --       --
UNICA CORP               EQUITY 904583101        102      12,649 SH       SOLE           1     12,649         --       --
UNIFI, INC.              EQUITY 904677101        103      40,889 SH       SOLE           1     40,889         --       --
UNIFIRST CORP.           EQUITY 904708104        581      13,008 SH       SOLE           1     13,008         --       --
UNILEVER N V             EQUITY 904784709         16         557 SH       DEFINED        4         --         --      557
UNILEVER N V             EQUITY 904784709         11         400 SH       DEFINED        5         --         --      400
UNILEVER PLC             EQUITY 904767704          2          85 SH       DEFINED        4         --         --       85
UNILEVER PLC             EQUITY 904767704         52       1,836 SH       DEFINED        5         --         --    1,836
UNION BANKSHARES CORP    EQUITY 905399101        182      12,212 SH       SOLE           1     12,212         --       --
UNION DRILLING INC       EQUITY 90653P105        276      12,720 SH       SOLE           1     12,720         --       --
UNION PAC CORP           EQUITY 907818108         44         588 SH       SOLE           2        588         --       --
UNION PAC CORP           EQUITY 907818108         67         892 SH       DEFINED        4         --         --      892
UNION PAC CORP           EQUITY 907818108         23         304 SH       DEFINED        5         --         --      304
UNION PACIFIC CORP       EQUITY 907818108     15,935     211,058 SH       SOLE           1    211,058         --       --
UNIONBANCAL CORP         EQUITY 908906100         64       1,577 SH       SOLE           1      1,577         --       --
UNISOURCE ENERGY CORP.   EQUITY 909205106        967      31,183 SH       SOLE           1     31,183         --       --
UNISYS CORP              EQUITY 909214108          2         405 SH       SOLE           2        405         --       --
UNISYS CORP.             EQUITY 909214108        613     155,113 SH       SOLE           1    155,113         --       --
UNIT CORP COM            EQUITY 909218109        697       8,400 SH       SOLE           3       8400         --       --
UNIT CORP.               EQUITY 909218109      1,891      22,792 SH       SOLE           1     22,792         --       --





                                                                                
UNITED AMERICA
   INDEMNITY LTD         EQUITY 90933T109        244      18,283 SH       SOLE           1     18,283         --       --
UNITED BANKSHARES INC.
   WV                    EQUITY 909907107        787      34,293 SH       SOLE           1     34,293         --       --
UNITED CAPITAL
   CORPORATION           EQUITY 909912107         31       1,615 SH       SOLE           1      1,615         --       --
UNITED CMNTY BKS BLAIR   EQUITY 90984P105        311      36,406 SH       SOLE           1     36,406         --       --
UNITED CMNTY BKS
   BLAIRSVLE G           EQUITY 90984P105          7         800 SH       DEFINED        4         --         --      800
UNITED COMMUNITY
   FINANCIAL CO          EQUITY 909839102         89      23,847 SH       SOLE           1     23,847         --       --
UNITED FIRE & CASUALTY
   CO.                   EQUITY 910331107        555      20,616 SH       SOLE           1     20,616         --       --
UNITED MICROELECTRONICS
   CORP                  EQUITY 910873405          2         663 SH       DEFINED        4         --         --      663
UNITED NAT FOODS INC     EQUITY 911163103          3         164 SH       DEFINED        5         --         --      164
UNITED NATURAL FOODS,
   INC.                  EQUITY 911163103        757      38,839 SH       SOLE           1     38,839         --       --
UNITED ONLINE INC        EQUITY 911268100        626      62,375 SH       SOLE           1     62,375         --       --
UNITED PARCEL SERVICE
   CLASS -B              EQUITY 911312106     32,841     534,253 SH       SOLE           1    534,253         --       --
UNITED PARCEL SERVICE
   INC                   EQUITY 911312106      1,554      25,282 SH       DEFINED        4         --         --   25,282
UNITED PARCEL SERVICE
   INC                   EQUITY 911312106         77       1,260 SH       DEFINED        5         --         --    1,260
UNITED PARCEL SVC INC    EQUITY 911312106        665      10,812 SH       SOLE           2     10,812         --       --
UNITED RENTALS INC       EQUITY 911363109          6         290 SH       DEFINED        4         --         --      290
UNITED RENTALS, INC.     EQUITY 911363109      3,502     178,563 SH       SOLE           1    178,563         --       --
UNITED SECURITY
   BANCSHARES            EQUITY 911460103        110       7,588 SH       SOLE           1      7,588         --       --
UNITED STATES CELLULAR
   CORP                  EQUITY 911684108          6         100 SH       DEFINED        5         --         --      100
UNITED STATES LIME &
   MINERALS INC          EQUITY 911922102         64       1,615 SH       SOLE           1      1,615         --       --
UNITED STATES NATL GAS
   FUND                  EQUITY 912318102         60         948 SH       DEFINED        4         --         --      948
UNITED STATES NATL GAS
   FUND                  EQUITY 912318102         34         540 SH       DEFINED        5         --         --      540
UNITED STATES OIL FUND
   LP                    EQUITY 91232N108         14         124 SH       DEFINED        4         --         --      124
UNITED STATES OIL FUND
   LP                    EQUITY 91232N108         61         541 SH       DEFINED        5         --         --      541
UNITED STATES STEEL CORP EQUITY 912909108      9,499      51,406 SH       SOLE           1     51,406         --       --
UNITED STATES STL CORP
   COM                   EQUITY 912909108      7,188      38,900 SH       SOLE           3     17,900              21,000
UNITED STATES STL CORP
   NEW                   EQUITY 912909108        805       4,355 SH       DEFINED        4         --         --    4,355
UNITED STATIONERS, INC.  EQUITY 913004107        783      21,197 SH       SOLE           1     21,197         --       --
UNITED STS STL CORP NEW  EQUITY 912909108      1,721       9,314 SH       SOLE           2      9,314         --       --
UNITED TECHNOLOGIES CORP EQUITY 913017109      5,981      96,940 SH       SOLE           2     96,940         --       --
UNITED TECHNOLOGIES CORP EQUITY 913017109         90       1,461 SH       DEFINED        4         --         --    1,461
UNITED TECHNOLOGIES CORP EQUITY 913017109        106       1,717 SH       DEFINED        5         --         --    1,717
UNITED TECHNOLOGIES
   CORP.                 EQUITY 913017109     69,425   1,125,208 SH       SOLE           1  1,125,208         --       --
UNITED THERAPEUTIC DEL
   COM                   EQUITY 91307C102        586       6,000 SH       SOLE           3       6000         --       --
UNITED THERAPEUTICS
   CORP D                EQUITY 91307C102        621       6,350 SH       SOLE           2      6,350         --       --
UNITED THERAPEUTICS
   CORP.                 EQUITY 91307C102      3,118      31,895 SH       SOLE           1     31,895         --       --
UNITEDHEALTH GROUP INC   EQUITY 91324P102     20,393     776,882 SH       SOLE           1    776,882         --       --
UNITEDHEALTH GROUP INC   EQUITY 91324P102         23         872 SH       DEFINED        4         --         --      872
UNITEDHEALTH GROUP INC   EQUITY 91324P102        165       6,297 SH       DEFINED        5         --         --    6,297
UNITRIN, INC.            EQUITY 913275103      3,238     117,464 SH       SOLE           1    117,464         --       --
UNIVERSAL AMER
   FINANCIAL CORP        EQUITY 913377107        364      35,626 SH       SOLE           1     35,626         --       --
UNIVERSAL CORP.          EQUITY 913456109      9,502     210,118 SH       SOLE           1    210,118         --       --
UNIVERSAL DISPLAY CORP   EQUITY 91347P105          1         100 SH       DEFINED        5         --         --      100
UNIVERSAL DISPLAY CORP.  EQUITY 91347P105        323      26,197 SH       SOLE           1     26,197         --       --
UNIVERSAL ELECTRONICS
   INC.                  EQUITY 913483103        268      12,807 SH       SOLE           1     12,807         --       --
UNIVERSAL FOREST
   PRODUCTS, INC         EQUITY 913543104        451      15,047 SH       SOLE           1     15,047         --       --
UNIVERSAL FST PRODS INC  EQUITY 913543104          7         233 SH       DEFINED        5         --         --      233
UNIVERSAL HEALTH
   SERVICES - B          EQUITY 913903100      7,534     119,164 SH       SOLE           1    119,164         --       --
UNIVERSAL STAINLESS &
   ALLOY                 EQUITY 913837100        225       6,067 SH       SOLE           1      6,067         --       --
UNIVERSAL TECHNICAL
   INSTITUT              EQUITY 913915104        243      19,502 SH       SOLE           1     19,502         --       --
UNIVERSAL TRUCKLOAD
   SERVICES              EQUITY 91388P105        119       5,392 SH       SOLE           1      5,392         --       --
UNIVEST CORP OF
   PENNSYLVANIA          EQUITY 915271100        231      11,635 SH       SOLE           1     11,635         --       --





                                                                                
UNUM GROUP               EQUITY 91529Y106      3,128     152,960 SH       SOLE           1    152,960         --       --
UNUM GROUP               EQUITY 91529Y106          8         394 SH       SOLE           2        394         --       --
UNUM GROUP               EQUITY 91529Y106          6         300 SH       DEFINED        4         --         --      300
URANIUM RESOURCES INC    EQUITY 916901507        155      41,932 SH       SOLE           1     41,932         --       --
URBAN OUTFITTERS INC COM EQUITY 917047102      8,000     256,500 SH       SOLE           3     102900         --   153600
URBAN OUTFITTERS, INC.   EQUITY 917047102      8,272     265,213 SH       SOLE           1    265,213         --       --
UROLOGIX INC             EQUITY 917273104          2         950 SH       DEFINED        4         --         --      950
URS CORP.                EQUITY 903236107      8,299     197,743 SH       SOLE           1    197,743         --       --
US AIRWAYS GROUP INC     EQUITY 90341W108        209      83,419 SH       SOLE           1     83,419         --       --
US BANCORP DEL           EQUITY 902973304      1,832      65,689 SH       SOLE           2     65,689         --       --
US BANCORP DEL           EQUITY 902973304         99       3,567 SH       DEFINED        4         --         --    3,567
US BANCORP DEL           EQUITY 902973304        229       8,209 SH       DEFINED        5         --         --    8,209
US CELLULAR              EQUITY 911684108         27         484 SH       SOLE           1        484         --       --
US CONCRETE INC          EQUITY 90333L102        171      36,005 SH       SOLE           1     36,005         --       --
US GEOTHERMAL INC        EQUITY 90338S102        165      56,176 SH       SOLE           1     56,176         --       --
US GLOBAL INVESTORS INC  EQUITY 902952100        192      11,467 SH       SOLE           1     11,467         --       --
US PHYSICAL THERAPY INC  EQUITY 90337L108        176      10,747 SH       SOLE           1     10,747         --       --
USA MOBILITY INC         EQUITY 90341G103        159      21,123 SH       SOLE           1     21,123         --       --
USA MOBILITY INC         EQUITY 90341G103          2         297 SH       DEFINED        4         --         --      297
USANA HEALTH SCIENCES
   INC                   EQUITY 90328M107        170       6,325 SH       SOLE           1      6,325         --       --
USEC INC                 EQUITY 9.0333E+112       18       3,000 SH       DEFINED        4         --         --    3,000
USEC INC                 EQUITY 9.0333E+112      102      16,700 SH       DEFINED        5         --         --   16,700
USEC, INC                EQUITY 9.0333E+112      612     100,703 SH       SOLE           1    100,703         --       --
USG CORP.                EQUITY 903293405         55       1,854 SH       SOLE           1      1,854         --       --
UST INC                  EQUITY 902911106      5,923     108,468 SH       SOLE           2    108,468         --       --
UST INC                  EQUITY 902911106         11         207 SH       DEFINED        5         --         --      207
UST INC.                 EQUITY 902911106     25,993     475,984 SH       SOLE           1    475,984         --       --
UTSTARCOM INC            EQUITY 918076100        547     100,066 SH       SOLE           1    100,066         --       --
V F CORP                 EQUITY 918204108        178       2,499 SH       SOLE           2      2,499         --       --
V. F. CORP.              EQUITY 918204108      2,745      38,562 SH       SOLE           1     38,562         --       --
VAALCO ENERGY INC        EQUITY 91851C201        454      53,545 SH       SOLE           1     53,545         --       --
VAALCO ENERGY INC        EQUITY 91851C201          3         400 SH       DEFINED        5         --         --      400
VAIL RESORTS, INC.       EQUITY 91879Q109      1,214      28,339 SH       SOLE           1     28,339         --       --
VALANCE TECHNOLOGY, INC  EQUITY 918914102        203      45,931 SH       SOLE           1     45,931         --       --
VALASSIS COMMUNICATIONS
   IN                    EQUITY 918866104      5,321     425,000 SH       SOLE           2    425,000         --       --
VALASSIS
   COMMUNICATIONS, INC.  EQUITY 918866104      1,936     154,624 SH       SOLE           1    154,624         --       --
VALEANT PHARMACEUTICALS
   INTE                  EQUITY 91911X104      4,611     269,474 SH       SOLE           1    269,474         --       --
VALEANT PHARMACEUTICALS
   INTL                  EQUITY 91911X104          4         244 SH       DEFINED        4         --         --      244
VALERO ENERGY CORP NEW   EQUITY 91913Y100         19         460 SH       DEFINED        4         --         --      460
VALERO ENERGY CORP NEW   EQUITY 91913Y100        430      10,448 SH       DEFINED        5         --         --   10,448
VALERO ENERGY CORP.      EQUITY 91913Y100     10,124     245,847 SH       SOLE           1    245,847         --       --
VALHI INC                EQUITY 918905100          5         173 SH       SOLE           1        173         --       --
VALLEY NATIONAL BANC     EQUITY 919794107         70       4,434 SH       SOLE           1      4,434         --       --
VALMONT INDS INC         EQUITY 920253101      1,231      11,800 SH       SOLE           2     11,800         --       --
VALMONT INDUSTRIES, INC. EQUITY 920253101         45         436 SH       SOLE           1        436         --       --
VALSPAR CORP.            EQUITY 920355104      4,412     233,319 SH       SOLE           1    233,319         --       --
VALUE LINE, INC.         EQUITY 920437100         41       1,221 SH       SOLE           1      1,221         --       --
VALUECLICK INC           EQUITY 92046N102        326      21,500 SH       SOLE           2     21,500         --       --
VALUECLICK INC.          EQUITY 92046N102      4,926     325,151 SH       SOLE           1    325,151         --       --
VAN KAMPEN DYNAMIC CR
   OPPORT                EQUITY 921166104          9         600 SH       DEFINED        5         --         --      600
VAN KAMPEN OHIO QUALITY
   MUN                   EQUITY 920923109         11         756 SH       DEFINED        4         --         --      756
VAN KAMPEN PA VALUE MUN
   INCO                  EQUITY 92112T108         75       5,886 SH       DEFINED        5         --         --    5,886





                                                                                
VAN KAMPEN SENIOR
   INCOME TR             EQUITY 920961109          2         325 SH       DEFINED        4         --         --      325
VAN KAMPEN SENIOR
   INCOME TR             EQUITY 920961109          6       1,075 SH       DEFINED        5         --         --    1,075
VANDA PHARMACEUTICALS
   INC                   EQUITY 921659108          7       2,000 SH       DEFINED        5         --         --    2,000
VANGUARD BD INDEX FD INC EQUITY 921937835         67         884 SH       DEFINED        4         --         --      884
VANGUARD BD INDEX FD INC EQUITY 921937835        906      11,876 SH       DEFINED        5         --         --   11,876
VANGUARD BD INDEX FD INC EQUITY 921937827        145       1,876 SH       DEFINED        5         --         --    1,876
VANGUARD BD INDEX FD INC EQUITY 921937819         42         548 SH       DEFINED        5         --         --      548
VANGUARD EMERGING
   MARKETS ETF           EQUITY 922042858        132       2,820 SH       SOLE           1      2,820         --       --
VANGUARD EUROPEAN ETF    EQUITY 922042874     23,558     359,060 SH       SOLE           1    359,060         --       --
VANGUARD INDEX FDS       EQUITY 922908751        250       3,999 SH       DEFINED        4         --         --    3,999
VANGUARD INDEX FDS       EQUITY 922908736        129       2,176 SH       DEFINED        4         --         --    2,176
VANGUARD INDEX FDS       EQUITY 922908637        103       1,773 SH       DEFINED        4         --         --    1,773
VANGUARD INDEX FDS       EQUITY 922908744         57       1,013 SH       DEFINED        4         --         --    1,013
VANGUARD INDEX FDS       EQUITY 922908629         22         315 SH       DEFINED        4         --         --      315
VANGUARD INDEX FDS       EQUITY 922908553         15         250 SH       DEFINED        4         --         --      250
VANGUARD INDEX FDS       EQUITY 922908769         13         200 SH       DEFINED        4         --         --      200
VANGUARD INDEX FDS       EQUITY 922908769        206       3,218 SH       DEFINED        5         --         --    3,218
VANGUARD INDEX FDS       EQUITY 922908736        106       1,791 SH       DEFINED        5         --         --    1,791
VANGUARD INDEX FDS       EQUITY 922908744         84       1,497 SH       DEFINED        5         --         --    1,497
VANGUARD INDEX FDS       EQUITY 922908629         50         718 SH       DEFINED        5         --         --      718
VANGUARD INDEX FDS       EQUITY 922908637         35         598 SH       DEFINED        5         --         --      598
VANGUARD INDEX FDS       EQUITY 922908751         30         484 SH       DEFINED        5         --         --      484
VANGUARD INDEX FDS       EQUITY 922908553         20         338 SH       DEFINED        5         --         --      338
VANGUARD INDEX FDS       EQUITY 922908652         10         200 SH       DEFINED        5         --         --      200
VANGUARD INDEX FDS       EQUITY 922908512          3          57 SH       DEFINED        5         --         --       57
VANGUARD INDEX FDS       EQUITY 922908538          3          56 SH       DEFINED        5         --         --       56
VANGUARD INTL EQUITY
   INDEX F               EQUITY 922042858         46         984 SH       DEFINED        4         --         --      984
VANGUARD INTL EQUITY
   INDEX F               EQUITY 922042775         45         846 SH       DEFINED        4         --         --      846
VANGUARD INTL EQUITY
   INDEX F               EQUITY 922042775        210       3,960 SH       DEFINED        5         --         --    3,960
VANGUARD INTL EQUITY
   INDEX F               EQUITY 922042858         49       1,050 SH       DEFINED        5         --         --    1,050
VANGUARD INTL EQUITY
   INDEX F               EQUITY 922042874          7         110 SH       DEFINED        5         --         --      110
VANGUARD TAX-MANAGED FD  EQUITY 921943858        148       3,442 SH       DEFINED        4         --         --    3,442
VANGUARD TAX-MANAGED FD  EQUITY 921943858         36         848 SH       DEFINED        5         --         --      848
VANGUARD WORLD FD        EQUITY 921910816         28         620 SH       DEFINED        5         --         --      620
VANGUARD WORLD FDS       EQUITY 92204A504        168       3,159 SH       DEFINED        4         --         --    3,159
VANGUARD WORLD FDS       EQUITY 92204A884         26         418 SH       DEFINED        4         --         --      418
VANGUARD WORLD FDS       EQUITY 92204A207         10         150 SH       DEFINED        4         --         --      150
VANGUARD WORLD FDS       EQUITY 92204A603        133       2,069 SH       DEFINED        5         --         --    2,069
VANGUARD WORLD FDS       EQUITY 92204A207          5          75 SH       DEFINED        5         --         --       75
VARIAN INC               EQUITY 922206107          5         100 SH       DEFINED        4         --         --      100
VARIAN MED SYS INC       EQUITY 92220P105          7         143 SH       SOLE           2        143         --       --
VARIAN MED SYS INC       EQUITY 92220P105         76       1,466 SH       DEFINED        4         --         --    1,466
VARIAN MED SYS INC       EQUITY 92220P105         10         200 SH       DEFINED        5         --         --      200
VARIAN MEDICAL SYSTEMS
   INC                   EQUITY 92220P105      3,498      67,465 SH       SOLE           1     67,465         --       --
VARIAN SEMICONDUCTOR
   EQUIPMENT             EQUITY 922207105         59       1,707 SH       SOLE           1      1,707         --       --
VARIAN SEMICONDUCTOR
   EQUIPMN               EQUITY 922207105         61       1,755 SH       DEFINED        5         --         --    1,755
VARIAN, INC.             EQUITY 922206107      4,853      95,051 SH       SOLE           1     95,051         --       --
VASCO DATA SEC INTL INC  EQUITY 92230Y104         16       1,535 SH       DEFINED        5         --         --    1,535
VASCO DATA SECURITY INTL EQUITY 92230Y104        256      24,332 SH       SOLE           1     24,332         --       --
VCA ANTECH INC           EQUITY 918194101      5,468     196,842 SH       SOLE           1    196,842         --       --
VCA ANTECH INC           EQUITY 918194101      4,309     155,100 SH       SOLE           2    155,100         --       --
VCA ANTECH INC           EQUITY 918194101          3         100 SH       DEFINED        4         --         --      100





                                                                                
VCA ANTECH INC           EQUITY 918194101          8         275 SH       DEFINED        5         --         --      275
VECTOR GROUP LTD         EQUITY 92240M108         85       5,249 SH       DEFINED        4         --         --    5,249
VECTOR GROUP LTD         EQUITY 92240M108          2         105 SH       DEFINED        5         --         --      105
VECTOR GROUP LTD.        EQUITY 92240M108        459      28,434 SH       SOLE           1     28,434         --       --
VECTREN CORP             EQUITY 92240G101      5,588     179,030 SH       SOLE           1    179,030         --       --
VEECO INSTRUMENTS, INC.  EQUITY 922417100        464      28,868 SH       SOLE           1     28,868         --       --
VENOCO INC               EQUITY 92275P307        426      18,340 SH       SOLE           1     18,340         --       --
VENTAS INC               EQUITY 92276F100     12,182     286,165 SH       SOLE           1    286,165         --       --
VEOLIA ENVIRONNEMENT     EQUITY 92334N103          6         100 SH       DEFINED        4         --         --      100
VEOLIA ENVIRONNEMENT     EQUITY 92334N103         86       1,546 SH       DEFINED        5         --         --    1,546
VERASUN ENERGY CORP      EQUITY 92336G106        384      92,937 SH       SOLE           1     92,937         --       --
VERASUN ENERGY CORP      EQUITY 92336G106          8       1,860 SH       DEFINED        5         --         --    1,860
VERENIUM CORPORATION     EQUITY 92340P100          1         607 SH       DEFINED        5         --         --      607
VERIFONE HOLDINGS INC    EQUITY 92342Y109        740      61,884 SH       SOLE           1     61,884         --       --
VERIGY LTD               EQUITY Y93691106          2          72 SH       DEFINED        5         --         --       72
VERISIGN INC             EQUITY 9.2343E+106        8         221 SH       SOLE           2        221         --       --
VERISIGN, INC.           EQUITY 9.2343E+106    3,511      92,880 SH       SOLE           1     92,880         --       --
VERIZON COMMUNICATIONS   EQUITY 92343V104     71,263   2,013,073 SH       SOLE           1  2,013,073         --       --
VERIZON COMMUNICATIONS   EQUITY 92343V104     15,766     445,363 SH       SOLE           2    445,363         --       --
VERIZON COMMUNICATIONS
   INC                   EQUITY 92343V104        220       6,205 SH       DEFINED        4         --         --    6,205
VERIZON COMMUNICATIONS
   INC                   EQUITY 92343V104        876      24,740 SH       DEFINED        5         --         --   24,740
VERSO PAPER CORP         EQUITY 92531L108        107      12,682 SH       SOLE           1     12,682         --       --
VERTEX PHARMACEUTICALS,
   INC.                  EQUITY 92532F100     11,249     336,100 SH       SOLE           1    336,100         --       --
VIACOM INC NEW           EQUITY 92553P201        370      12,119 SH       SOLE           2     12,119         --       --
VIACOM INC NEW           EQUITY 92553P201         65       2,138 SH       DEFINED        4         --         --    2,138
VIACOM INC NEW           EQUITY 92553P201         27         881 SH       DEFINED        5         --         --      881
VIACOM INC NEW           EQUITY 92553P102          3         100 SH       DEFINED        5         --         --      100
VIACOM INC-CLASS B       EQUITY 92553P201     16,257     532,325 SH       SOLE           1    532,325         --       --
VIAD CORP                EQUITY 92552R406        484      18,757 SH       SOLE           1     18,757         --       --
VIASAT, INC.             EQUITY 92552V100        464      22,949 SH       SOLE           1     22,949         --       --
VICOR CORP.              EQUITY 925815102        175      17,576 SH       SOLE           1     17,576         --       --
VIEWPOINT FINANCIAL
   GROUP                 EQUITY 926727108        147      10,006 SH       SOLE           1     10,006         --       --
VIGNETTE CORPORATION     EQUITY 926734401        269      22,390 SH       SOLE           1     22,390         --       --
VILLAGE SUPER MARKET     EQUITY 927107409        112       2,893 SH       SOLE           1      2,893         --       --
VIMICRO INTL CORP        EQUITY 92718N109          3       1,000 SH       DEFINED        5         --         --    1,000
VIRGIN MEDIA INC         EQUITY 92769L101        396      29,129 SH       SOLE           1     29,129         --       --
VIRGIN MOBILE USA INC    EQUITY 92769R108         76      27,497 SH       SOLE           1     27,497         --       --
VIROPHARMA INC           EQUITY 928241108        701      63,364 SH       SOLE           1     63,364         --       --
VIRTUAL RADIOLOGIC CORP  EQUITY 92826B104         84       6,328 SH       SOLE           1      6,328         --       --
VIRTUSA CORP             EQUITY 92827P102         81       7,982 SH       SOLE           1      7,982         --       --
VIRTUSA CORP COM         EQUITY 92827P102      1,184     116,900 SH       SOLE           3     116900         --       --
VISA INC                 EQUITY 92826C839      9,871     121,400 SH       SOLE           2    121,400         --       --
VISA INC                 EQUITY 92826C839        194       2,380 SH       DEFINED        4         --         --    2,380
VISA INC                 EQUITY 92826C839      1,349      16,593 SH       DEFINED        5         --         --   16,593
VISHAY INTERTECHNOLOGY
   INC                   EQUITY 928298108         12       1,323 SH       DEFINED        4         --         --    1,323
VISHAY INTERTECHNOLOGY
   INC                   EQUITY 928298108          2         230 SH       DEFINED        5         --         --      230
VISHAY INTERTECHNOLOGY,
   INC.                  EQUITY 928298108      3,876     436,974 SH       SOLE           1    436,974         --       --
VISION-SCIENCES INC      EQUITY 927912105         57      15,239 SH       SOLE           1     15,239         --       --
VISTEON CORP             EQUITY 92839U107          2         627 SH       DEFINED        5         --         --      627
VISTEON CORP.            EQUITY 92839U107        312     118,516 SH       SOLE           1    118,516         --       --
VITAL IMAGES INC         EQUITY 92846N104        194      15,585 SH       SOLE           1     15,585         --       --
VITAL SIGNS, INC.        EQUITY 928469105        414       7,285 SH       SOLE           1      7,285         --       --





                                                                                
VIVUS INC.               EQUITY 928551100        367      54,889 SH       SOLE           1     54,889         --       --
VMWARE INC               EQUITY 928563402         86       1,600 SH       DEFINED        4         --         --    1,600
VMWARE INC               EQUITY 928563402          3          50 SH       DEFINED        5         --         --       50
VNUS MED TECNOLOGIES COM EQUITY 928566108      2,603     130,100 SH       SOLE           3     130100         --       --
VNUS MEDICAL
   TECHNOLOGIES          EQUITY 928566108        236      11,782 SH       SOLE           1     11,782         --       --
VOCUS INC                EQUITY 92858J108      1,639      50,951 SH       SOLE           1     50,951         --       --
VOCUS INC COM            EQUITY 92858J108      2,818      87,600 SH       SOLE           3      87600         --       --
VODAFONE GROUP PLC NEW   EQUITY 92857W209        640      21,740 SH       DEFINED        4         --         --   21,740
VODAFONE GROUP PLC NEW   EQUITY 92857W209         13         446 SH       DEFINED        5         --         --      446
VOLCANO CORP             EQUITY 928645100        522      42,752 SH       SOLE           1     42,752         --       --
VOLCANO CORPORATION      EQUITY 928645100          1         100 SH       DEFINED        4         --         --      100
VOLCOM INC               EQUITY 92864N101        394      16,455 SH       SOLE           1     16,455         --       --
VOLT INFORMATION
   SCIENCES INC.         EQUITY 928703107        136      11,450 SH       SOLE           1     11,450         --       --
VOLTERRA SEMICONDUCTOR
   CORP                  EQUITY 928708106        396      22,961 SH       SOLE           1     22,961         --       --
VONAGE HOLDINGS CORP     EQUITY 92886T201         77      46,522 SH       SOLE           1     46,522         --       --
VORNADO REALTY TRUST     EQUITY 929042109      6,865      78,011 SH       SOLE           1     78,011         --       --
VORNADO RLTY TR          EQUITY 929042109         14         154 SH       SOLE           2        154         --       --
VSE CORP                 EQUITY 918284100        100       3,630 SH       SOLE           1      3,630         --       --
VULCAN MATERIALS CO.     EQUITY 929160109      2,863      47,900 SH       SOLE           1     47,900         --       --
VULCAN MATLS CO          EQUITY 929160109          7         124 SH       SOLE           2        124         --       --
VULCAN MATLS CO          EQUITY 929160109        239       4,004 SH       DEFINED        5         --         --    4,004
W HOLDING COMPANY INC.   EQUITY 929251106         88     103,370 SH       SOLE           1    103,370         --       --
W P CAREY & CO LLC       EQUITY 92930Y107         38       1,317 SH       DEFINED        4         --         --    1,317
W&T OFFSHORE INC         EQUITY 92922P106         41         694 SH       SOLE           1        694         --       --
W. R. BERKLEY CORP.      EQUITY 84423102       8,393     347,376 SH       SOLE           1    347,376         --       --
W. W. GRAINGER, INC.     EQUITY 384802104      2,980      36,425 SH       SOLE           1     36,425         --       --
WABASH NATIONAL CORP.    EQUITY 929566107        210      27,819 SH       SOLE           1     27,819         --       --
WABCO HLDGS INC          EQUITY 92927K102         22         472 SH       DEFINED        5         --         --      472
WABCO HOLDINGS INC       EQUITY 92927K102         70       1,510 SH       SOLE           1      1,510         --       --
WABTEC                   EQUITY 929740108      7,572     155,748 SH       SOLE           1    155,748         --       --
WABTEC                   EQUITY 929740108        559      11,500 SH       SOLE           2     11,500         --       --
WABTEC CORP              EQUITY 929740108          5         100 SH       DEFINED        5         --         --      100
WACHOVIA CORP            EQUITY 929903102     22,925   1,476,187 SH       SOLE           1  1,476,187         --       --
WACHOVIA CORP 2ND NEW    EQUITY 929903102        287      18,472 SH       SOLE           2     18,472         --       --
WACHOVIA CORP NEW        EQUITY 929903102        110       7,107 SH       DEFINED        4         --         --    7,107
WACHOVIA CORP NEW        EQUITY 929903102        232      14,915 SH       DEFINED        5         --         --   14,915
WADDELL & REED
   FINANCIAL, INC.       EQUITY 930059100      8,402     239,995 SH       SOLE           1    239,995         --       --
WADDELL & REED FINL CL A EQUITY 930059100        686      19,600 SH       SOLE           3      19600         --       --
WADDELL + REED FINL INC  EQUITY 930059100        644      18,400 SH       SOLE           2     18,400         --       --
WAL MART STORES INC      EQUITY 931142103      7,399     455,947 SH       SOLE           2    455,947         --       --
WAL MART STORES INC      EQUITY 931142103        243       4,319 SH       DEFINED        4         --         --    4,319
WAL MART STORES INC      EQUITY 931142103      2,812      50,043 SH       DEFINED        5         --         --   50,043
WALGREEN CO              EQUITY 931422109        204       6,277 SH       SOLE           2      6,277         --       --
WALGREEN CO              EQUITY 931422109        371      11,416 SH       DEFINED        4         --         --   11,416
WALGREEN CO              EQUITY 931422109        305       9,377 SH       DEFINED        5         --         --    9,377
WALGREEN CO.             EQUITY 931422109     20,911     643,223 SH       SOLE           1    643,223         --       --
WAL-MART STORES INC      EQUITY 931142103    138,290   2,460,685 SH       SOLE           1  2,460,685         --       --
WALT DISNEY              EQUITY 254687106     81,393   2,608,743 SH       SOLE           1  2,608,743         --       --
WALTER INDS INC          EQUITY 93317Q105      2,159      19,850 SH       SOLE           2     19,850         --       --
WALTER INDS INC          EQUITY 93317Q105         11         105 SH       DEFINED        4         --         --      105
WALTER INDS INC          EQUITY 93317Q105         16         150 SH       DEFINED        5         --         --      150
WALTER INDUSTRIES, INC.  EQUITY 93317Q105        254       2,333 SH       SOLE           1      2,333         --       --





                                                                                
WARNACO GROUP INC        EQUITY 934390402      6,449     146,325 SH       SOLE           1    146,325         --       --
WARNER CHILCOTT LIMITED  EQUITY G9435N108        153       9,000 SH       SOLE           2      9,000         --       --
WARNER MUSIC GROUP CORP  EQUITY 934550104         12       1,710 SH       SOLE           1      1,710         --       --
WARREN RES INC           EQUITY 93564A100         32       2,184 SH       DEFINED        5         --         --    2,184
WARREN RESOURCES INC     EQUITY 93564A100        775      52,791 SH       SOLE           1     52,791         --       --
WASHINGTON FED INC       EQUITY 938824109        139       7,700 SH       SOLE           2      7,700         --       --
WASHINGTON FEDERAL I     EQUITY 938824109      3,727     205,909 SH       SOLE           1    205,909         --       --
WASHINGTON MUT INC       EQUITY 939322103          6       1,204 SH       SOLE           2      1,204         --       --
WASHINGTON MUT INC       EQUITY 939322103          4         894 SH       DEFINED        4         --         --      894
WASHINGTON MUT INC       EQUITY 939322103        301      61,117 SH       DEFINED        5         --         --   61,117
WASHINGTON MUTUAL INC    EQUITY 939322103      2,648     537,037 SH       SOLE           1    537,037         --       --
WASHINGTON POST CO       EQUITY 939640108          4           7 SH       SOLE           2          7         --       --
WASHINGTON POST CO.
   CLASS B               EQUITY 939640108      2,967       5,055 SH       SOLE           1      5,055         --       --
WASHINGTON REAL ESTATE
   INV.                  EQUITY 939653101      1,345      44,768 SH       SOLE           1     44,768         --       --
WASHINGTON REAL ESTATE
   INVT                  EQUITY 939653101         15         515 SH       DEFINED        4         --         --      515
WASHINGTON TRUST
   BANCORP, INC.         EQUITY 940610108        204      10,331 SH       SOLE           1     10,331         --       --
WASTE CONNECTIONS INC    EQUITY 941053100        143       4,479 SH       DEFINED        5         --         --    4,479
WASTE CONNECTIONS, INC.  EQUITY 941053100      1,921      60,157 SH       SOLE           1     60,157         --       --
WASTE MANAGEMENT, INC.   EQUITY 94106L109     11,284     299,224 SH       SOLE           1    299,224         --       --
WASTE MGMT INC DEL       EQUITY 94106L109      6,356     168,558 SH       SOLE           2    168,558         --       --
WASTE MGMT INC DEL       EQUITY 94106L109         18         472 SH       DEFINED        4         --         --      472
WASTE MGMT INC DEL       EQUITY 94106L109          5         120 SH       DEFINED        5         --         --      120
WASTE SERVICES INC       EQUITY 941075202        151      21,510 SH       SOLE           1     21,510         --       --
WATERS CORP              EQUITY 941848103          7         114 SH       SOLE           2        114         --       --
WATERS CORP              EQUITY 941848103         45         690 SH       DEFINED        5         --         --      690
WATERS CORP.             EQUITY 941848103     10,125     156,973 SH       SOLE           1    156,973         --       --
WATSCO, INC.             EQUITY 942622200      6,906     165,218 SH       SOLE           1    165,218         --       --
WATSON PHARMACEUTICALS
   INC                   EQUITY 942683103          3         119 SH       SOLE           2        119         --       --
WATSON PHARMACEUTICALS
   INC                   EQUITY 942683AC7          3           3 PRN      DEFINED        4         --         --        3
WATSON PHARMACEUTICALS
   INC                   EQUITY 942683103          4         150 SH       DEFINED        5         --         --      150
WATSON PHARMACEUTICALS,
   INC                   EQUITY 942683103      2,896     106,591 SH       SOLE           1    106,591         --       --
WATSON WYATT WORLDWIDE
   INC                   EQUITY 942712100      2,044      38,649 SH       SOLE           1     38,649         --       --
WATSON WYATT WORLDWIDE
   INC                   EQUITY 942712100        894      16,900 SH       SOLE           2     16,900         --       --
WATTS WATER
   TECHNOLOGIES INC      EQUITY 942749102          3         125 SH       DEFINED        5         --         --      125
WATTS WATER
   TECHNOLOGIES INC.,
   CLASS A               EQUITY 942749102        659      26,450 SH       SOLE           1     26,450         --       --
WAUSAU PAPER CORP.       EQUITY 943315101        308      39,952 SH       SOLE           1     39,952         --       --
WAUWATOSA HOLDINGS INC   EQUITY 94348P108         67       6,284 SH       SOLE           1      6,284         --       --
WD-40 CO.                EQUITY 929236107        435      14,881 SH       SOLE           1     14,881         --       --
WEATHERFORD
   INTERNATIONAL         EQUITY G95089101      2,523      50,873 SH       SOLE           2     50,873         --       --
WEATHERFORD
   INTERNATIONAL LT      EQUITY G95089101        115       2,328 SH       DEFINED        4         --         --    2,328
WEATHERFORD
   INTERNATIONAL LT      EQUITY G95089101         50       1,000 SH       DEFINED        5         --         --    1,000
WEBMD HEALTH CORP        EQUITY 94770V102         14         500 SH       SOLE           2        500         --       --
WEBMD HEALTH CORP        EQUITY 94770V102          9         333 SH       DEFINED        4         --         --      333
WEBMD HEALTH CORP-CLASS
   A                     EQUITY 94770V102         13         460 SH       SOLE           1        460         --       --
WEBSENSE INC             EQUITY 947684106        689      40,885 SH       SOLE           1     40,885         --       --
WEBSENSE INC             EQUITY 947684106        522      31,000 SH       SOLE           2     31,000         --       --
WEBSITE PROS INC         EQUITY 94769V105        208      25,029 SH       SOLE           1     25,029         --       --
WEBSTER FINANCIAL CORP.  EQUITY 947890109      2,499     134,335 SH       SOLE           1    134,335         --       --
WEBSTER FINL CORP CONN   EQUITY 947890109        598      32,174 SH       DEFINED        5         --         --   32,174
WEIGHT WATCHERS INTL INC EQUITY 948626106        506      14,223 SH       SOLE           1     14,223         --       --
WEINGARTEN REALTY
   INVESTORS             EQUITY 948741103      5,314     175,264 SH       SOLE           1    175,264         --       --
WEINGARTEN RLTY INVS     EQUITY 948741103         23         754 SH       DEFINED        4         --         --      754





                                                                                
WEIS MARKETS INC         EQUITY 948849104        324       9,991 SH       SOLE           1      9,991         --       --
WELLCARE HEALTH PLANS
   INC                   EQUITY 94946T106      3,520      97,360 SH       SOLE           1     97,360         --       --
WELLCARE HEALTH PLANS
   INC                   EQUITY 94946T106          5         140 SH       DEFINED        5         --         --      140
WELLPOINT INC            EQUITY 94973V107     18,254     382,998 SH       SOLE           1    382,998         --       --
WELLPOINT INC            EQUITY 94973V107        424       8,888 SH       SOLE           2      8,888         --       --
WELLPOINT INC            EQUITY 94973V107          1          23 SH       DEFINED        4         --         --       23
WELLPOINT INC            EQUITY 94973V107          5         110 SH       DEFINED        5         --         --      110
WELLS FARGO & CO NEW     EQUITY 949746101         42       1,758 SH       DEFINED        4         --         --    1,758
WELLS FARGO & CO NEW     EQUITY 949746101        407      17,133 SH       DEFINED        5         --         --   17,133
WELLS FARGO + CO NEW     EQUITY 949746101      3,579     150,680 SH       SOLE           2    150,680         --       --
WELLS FARGO CO.          EQUITY 949746101     46,433   1,955,079 SH       SOLE           1  1,955,079         --       --
WENDY'S INTERNATIONAL,
   INC.                  EQUITY 950590109      1,023      37,600 SH       SOLE           1     37,600         --       --
WENDYS INTL INC          EQUITY 950590109          3         100 SH       SOLE           2        100         --       --
WERNER ENTERPRISES, INC. EQUITY 950755108      2,622     141,114 SH       SOLE           1    141,114         --       --
WESBANCO, INC.           EQUITY 950810101        412      24,049 SH       SOLE           1     24,049         --       --
WESCO FINANCIAL CORP     EQUITY 950817106         17          44 SH       SOLE           1         44         --       --
WESCO INTERNATIONAL,
   INC.                  EQUITY 95082P105         43       1,084 SH       SOLE           1      1,084         --       --
WEST BANCORPORATION      EQUITY 95123P106        137      15,766 SH       SOLE           1     15,766         --       --
WEST COAST BANCORP       EQUITY 952145100        123      14,216 SH       SOLE           1     14,216         --       --
WEST PHARMACEUTICAL
   SERVICES              EQUITY 955306105      1,268      29,287 SH       SOLE           1     29,287         --       --
WESTAMERICA
   BANKCORPORATION       EQUITY 957090103      4,911      93,386 SH       SOLE           1     93,386         --       --
WESTAR ENERGY            EQUITY 95709T100      7,257     337,368 SH       SOLE           1    337,368         --       --
WESTAR ENERGY INC        EQUITY 95709T100         29       1,334 SH       DEFINED        4         --         --    1,334
WESTAR ENERGY INC        EQUITY 95709T100         10         452 SH       DEFINED        5         --         --      452
WESTERN ALLIANCE BANCORP EQUITY 957638109        119      15,348 SH       SOLE           1     15,348         --       --
WESTERN ASSET 2008 WW
   DLR GO                EQUITY 95766W103         23       2,268 SH       DEFINED        5         --         --    2,268
WESTERN ASSET CLYM INFL
   OPP                   EQUITY 95766R104        130      10,595 SH       DEFINED        4         --         --   10,595
WESTERN ASSET CLYM INFL
   OPP                   EQUITY 95766R104         98       8,000 SH       DEFINED        5         --         --    8,000
WESTERN ASSET CLYM INFL
   SEC                   EQUITY 95766Q106          6         459 SH       DEFINED        5         --         --      459
WESTERN ASSET EMRG MKT
   DEBT                  EQUITY 95766A101         18       1,019 SH       DEFINED        4         --         --    1,019
WESTERN ASSET EMRG MKT
   DEBT                  EQUITY 95766A101         14         832 SH       DEFINED        5         --         --      832
WESTERN ASSET EMRG MKT
   INCM                  EQUITY 9.5766E+107      278      22,547 SH       DEFINED        4         --         --   22,547
WESTERN ASSET GLB HI
   INCOME                EQUITY 95766B109         30       2,680 SH       DEFINED        5         --         --    2,680
WESTERN ASSET HIGH INCM
   FD I                  EQUITY 95766J102         21       2,160 SH       DEFINED        4         --         --    2,160
WESTERN ASSET HIGH INCM
   FD I                  EQUITY 95766J102        345      36,080 SH       DEFINED        5         --         --   36,080
WESTERN ASSET HIGH INCM
   FD I                  EQUITY 95766H106         19       2,200 SH       DEFINED        5         --         --    2,200
WESTERN ASSET HIGH INCM
   OPP                   EQUITY 95766K109         12       2,172 SH       DEFINED        5         --         --    2,172
WESTERN ASSET INFL MGMT
   FD I                  EQUITY 95766U107        127       7,528 SH       DEFINED        4         --         --    7,528
WESTERN ASSET PREMIER
   BD FD                 EQUITY 957664105         24       2,000 SH       DEFINED        5         --         --    2,000
WESTERN ASSETT MGD HI
   INCM F                EQUITY 95766L107          9       1,500 SH       DEFINED        4         --         --    1,500
WESTERN ASST MNG MUN FD
   INC                   EQUITY 95766M105         40       3,656 SH       DEFINED        5         --         --    3,656
WESTERN AST EMRG MKT
   FLT RT                EQUITY 95766C107          5         400 SH       DEFINED        4         --         --      400
WESTERN DIGITAL CORP     EQUITY 958102105        143       4,150 SH       SOLE           2      4,150         --       --
WESTERN DIGITAL CORP     EQUITY 958102105         62       1,807 SH       DEFINED        4         --         --    1,807
WESTERN DIGITAL CORP     EQUITY 958102105          9         267 SH       DEFINED        5         --         --      267
WESTERN DIGITAL CORP COM EQUITY 958102105      3,933     113,900 SH       SOLE           3      46900         --    67000
WESTERN DIGITIAL CORP.   EQUITY 958102105     17,845     516,796 SH       SOLE           1    516,796         --       --
WESTERN REFINING INC     EQUITY 959319104        320      27,047 SH       SOLE           1     27,047         --       --
WESTERN REFNG INC        EQUITY 959319104          5         400 SH       DEFINED        5         --         --      400
WESTERN UN CO            EQUITY 959802109        364      14,741 SH       SOLE           2     14,741         --       --
WESTERN UN CO            EQUITY 959802109          2         100 SH       DEFINED        4         --         --      100
WESTERN UN CO            EQUITY 959802109         27       1,100 SH       DEFINED        5         --         --    1,100





                                                                                
WESTERN UNION CO/THE     EQUITY 959802109      9,892     400,163 SH       SOLE           1    400,163         --       --
WESTFIELD FINANCIAL INC  EQUITY 96008P104        260      28,701 SH       SOLE           1     28,701         --       --
WESTLAKE CHEMICAL CORP   EQUITY 960413102        258      17,361 SH       SOLE           1     17,361         --       --
WESTMORELAND COAL CO     EQUITY 960878106        182       8,605 SH       SOLE           1      8,605         --       --
WESTPAC BKG CORP         EQUITY 961214301         57         600 SH       DEFINED        4         --         --      600
WESTSIDE ENERGY CORP     EQUITY 96149R100          7       1,000 SH       DEFINED        5         --         --    1,000
WESTWOOD HLDGS GROUP COM EQUITY 961765104        991      24,902 SH       SOLE           3      24902         --       --
WESTWOOD HOLDINGS GROUP
   INC                   EQUITY 961765104        193       4,861 SH       SOLE           1      4,861         --       --
WESTWOOD ONE, INC.       EQUITY 961815107         80      64,359 SH       SOLE           1     64,359         --       --
WET SEAL INC CL A        EQUITY 961840105      3,039     637,200 SH       SOLE           3     637200         --       --
WET SEAL, INC.           EQUITY 961840105      1,498     313,994 SH       SOLE           1    313,994         --       --
WEYCO GROUP INC          EQUITY 962149100        174       6,565 SH       SOLE           1      6,565         --       --
WEYERHAEUSER CO          EQUITY 962166104         12         240 SH       SOLE           2        240         --       --
WEYERHAEUSER CO          EQUITY 962166104         10         200 SH       DEFINED        5         --         --      200
WEYERHAEUSER CO.         EQUITY 962166104      4,767      93,210 SH       SOLE           1     93,210         --       --
WGL HOLDINGS INC.        EQUITY 92924F106      5,531     159,211 SH       SOLE           1    159,211         --       --
W-H ENERGY SERVICES INC  EQUITY 9.2925E+112    2,683      28,027 SH       SOLE           1     28,027         --       --
WHIRLPOOL CORP           EQUITY 963320106          5          85 SH       SOLE           2         85         --       --
WHIRLPOOL CORP           EQUITY 963320106         42         674 SH       DEFINED        4         --         --      674
WHIRLPOOL CORP           EQUITY 963320106         38         613 SH       DEFINED        5         --         --      613
WHIRLPOOL CORP.          EQUITY 963320106      2,053      33,264 SH       SOLE           1     33,264         --       --
WHITING PETROLEUM CORP   EQUITY 966387102        103         974 SH       SOLE           1        974         --       --
WHITNEY HOLDING CORP.    EQUITY 966612103         39       2,125 SH       SOLE           1      2,125         --       --
WHOLE FOODS MARKET I     EQUITY 966837106      1,586      66,946 SH       SOLE           1     66,946         --       --
WHOLE FOODS MKT INC      EQUITY 966837106          4         159 SH       SOLE           2        159         --       --
WHOLE FOODS MKT INC      EQUITY 966837106          9         400 SH       DEFINED        4         --         --      400
WHOLE FOODS MKT INC      EQUITY 966837106        176       7,429 SH       DEFINED        5         --         --    7,429
WILLBROS GROUP INC       EQUITY 969199108      1,541      35,182 SH       SOLE           1     35,182         --       --
WILLIAMS COMPANIES, INC. EQUITY 969457100     38,785     962,171 SH       SOLE           1    962,171         --       --
WILLIAMS COS INC         EQUITY 969457100         27         664 SH       SOLE           2        664         --       --
WILLIAMS COS INC DEL     EQUITY 969457100         27         675 SH       DEFINED        4         --         --      675
WILLIAMS COS INC DEL     EQUITY 969457100         14         339 SH       DEFINED        5         --         --      339
WILLIAMS-SONOMA, INC.    EQUITY 969904101      4,079     205,592 SH       SOLE           1    205,592         --       --
WILMINGTON TRUST CORP    EQUITY 971807102      4,173     157,830 SH       SOLE           1    157,830         --       --
WILSHIRE BANCORP INC     EQUITY 97186T108        149      17,439 SH       SOLE           1     17,439         --       --
WIMM-BILL-DANN FOODS
   OJSC                  EQUITY 97263M109      1,894      18,000 SH       SOLE           1     18,000         --       --
WIND RIVER SYSTEMS INC.  EQUITY 973149107      2,416     221,825 SH       SOLE           1    221,825         --       --
WINDSTREAM CORP          EQUITY 97381W104      6,005     486,612 SH       SOLE           1    486,612         --       --
WINDSTREAM CORP          EQUITY 97381W104      4,967     402,509 SH       SOLE           2    402,509         --       --
WINDSTREAM CORP          EQUITY 97381W104         37       2,976 SH       DEFINED        4         --         --    2,976
WINDSTREAM CORP          EQUITY 97381W104         36       2,907 SH       DEFINED        5         --         --    2,907
WINN DIXIE STORES INC    EQUITY 974280307         66       4,100 SH       DEFINED        5         --         --    4,100
WINN-DIXIE STORES INC    EQUITY 974280307        785      48,981 SH       SOLE           1     48,981         --       --
WINNEBAGO INDUSTRIES,
   INC.                  EQUITY 974637100        268      26,324 SH       SOLE           1     26,324         --       --
WINTRUST FINANCIAL CORP  EQUITY 97650W108        510      21,385 SH       SOLE           1     21,385         --       --
WISCONSIN ENERGY CORP.   EQUITY 976657106     12,398     274,174 SH       SOLE           1    274,174         --       --
WISDOMTREE TRUST         EQUITY 97717W828         25         350 SH       DEFINED        4         --         --      350
WISDOMTREE TRUST         EQUITY 97717W703         17         275 SH       DEFINED        4         --         --      275
WISDOMTREE TRUST         EQUITY 97717W604          5         112 SH       DEFINED        4         --         --      112
WISDOMTREE TRUST         EQUITY 97717W844          5          96 SH       DEFINED        4         --         --       96
WISDOMTREE TRUST         EQUITY 97717W810        327       5,400 SH       DEFINED        5         --         --    5,400
WISDOMTREE TRUST         EQUITY 97717W786        299       5,000 SH       DEFINED        5         --         --    5,000





                                                                                
WISDOMTREE TRUST         EQUITY 97717W794         12         200 SH       DEFINED        5         --         --      200
WISDOMTREE TRUST         EQUITY 97717W422          3         150 SH       DEFINED        5         --         --      150
WISDOMTREE TRUST         EQUITY 97717W828          7          95 SH       DEFINED        5         --         --       95
WIZZARD SOFTWARE CORP
   NEW                   EQUITY 97750V109          2       1,100 SH       DEFINED        5         --         --    1,100
WM. WRIGLEY JR. CO.      EQUITY 982526105     23,246     298,866 SH       SOLE           1    298,866         --       --
WMS INDS INC             EQUITY 929297109          6         200 SH       DEFINED        5         --         --      200
WMS INDUSTRIES INC.      EQUITY 929297109      1,183      39,749 SH       SOLE           1     39,749         --       --
WOLVERINE WORLD WIDE INC EQUITY 978097103        557      20,900 SH       SOLE           2     20,900         --       --
WOLVERINE WORLD WIDE INC EQUITY 978097103          9         330 SH       DEFINED        4         --         --      330
WOLVERINE WORLD WIDE INC EQUITY 978097103          3         103 SH       DEFINED        5         --         --      103
WOLVERINE WORLD WIDE,
   INC.                  EQUITY 978097103      1,202      45,076 SH       SOLE           1     45,076         --       --
WONDER AUTO TECHNOLOGY
   INC                   EQUITY 978166106         94      13,310 SH       SOLE           1     13,310         --       --
WOODWARD GOVERNOR CO     EQUITY 980745103        667      18,700 SH       SOLE           2     18,700         --       --
WOODWARD GOVERNOR CO.    EQUITY 980745103      1,897      53,185 SH       SOLE           1     53,185         --       --
WORLD ACCEPTANCE CORP.   EQUITY 981419104        499      14,812 SH       SOLE           1     14,812         --       --
WORLD FUEL SERVICES
   CORP.                 EQUITY 981475106      4,693     213,900 SH       SOLE           2    213,900         --       --
WORLD FUEL SVCS CORP     EQUITY 981475106        571      26,029 SH       SOLE           1     26,029         --       --
WORLD WRESTLING ENTMNT   EQUITY 98156Q108        297      19,222 SH       SOLE           1     19,222         --       --
WORLD WRESTLING ENTMT
   INC                   EQUITY 98156Q108          7         463 SH       DEFINED        4         --         --      463
WORLD WRESTLING ENTMT
   INC                   EQUITY 98156Q108          3         200 SH       DEFINED        5         --         --      200
WORTHINGTON INDUSTRIES,
   INC.                  EQUITY 981811102      4,239     206,764 SH       SOLE           1    206,764         --       --
WRIGHT EXPRESS CORP      EQUITY 98233Q105        872      35,149 SH       SOLE           1     35,149         --       --
WRIGHT MED GROUP INC     EQUITY 98235T107      2,531      89,077 SH       SOLE           1     89,077         --       --
WRIGHT MED GROUP INC     EQUITY 98235T107        705      24,800 SH       SOLE           2     24,800         --       --
WRIGHT MED GROUP INC COM EQUITY 98235T107        503      17,700 SH       SOLE           3      17700         --       --
WRIGLEY WM JR CO         EQUITY 982526105      1,295      16,644 SH       SOLE           2     16,644         --       --
WRIGLEY WM JR CO         EQUITY 982526105         18         237 SH       DEFINED        4         --         --      237
WRIGLEY WM JR CO         EQUITY 982526105         56         718 SH       DEFINED        5         --         --      718
WSFS FINANCIAL CORP      EQUITY 929328102        248       5,564 SH       SOLE           1      5,564         --       --
WUXI PHARMATECH CAYMAN
   INC                   EQUITY 929352102          8         400 SH       DEFINED        5         --         --      400
WYETH                    EQUITY 983024100     30,853     643,311 SH       SOLE           1    643,311         --       --
WYETH                    EQUITY 983024100      4,432      92,416 SH       SOLE           2     92,416         --       --
WYETH                    EQUITY 983024100        104       2,166 SH       DEFINED        4         --         --    2,166
WYETH                    EQUITY 983024AD2          3           3 PRN      DEFINED        4         --         --        3
WYETH                    EQUITY 983024100         63       1,319 SH       DEFINED        5         --         --    1,319
WYNDHAM WORLDWIDE CORP   EQUITY 98310W108      1,397      78,001 SH       SOLE           1     78,001         --       --
WYNDHAM WORLDWIDE CORP   EQUITY 98310W108          4         201 SH       SOLE           2        201         --       --
WYNDHAM WORLDWIDE CORP   EQUITY 98310W108          4         214 SH       DEFINED        5         --         --      214
WYNN RESORTS LTD         EQUITY 983134107        653       8,024 SH       SOLE           1      8,024         --       --
XCEL ENERGY INC          EQUITY 98389B100      4,817     239,990 SH       SOLE           2    239,990         --       --
XCEL ENERGY INC          EQUITY 98389B100         23       1,155 SH       DEFINED        4         --         --    1,155
XCEL ENERGY INC          EQUITY 98389B100      1,060      52,830 SH       DEFINED        5         --         --   52,830
XCEL STATES POWER-MINES  EQUITY 98389B100      7,206     359,036 SH       SOLE           1    359,036         --       --
XENOPORT INC             EQUITY 98411C100        889      22,768 SH       SOLE           1     22,768         --       --
XERIUM TECHNOLOGIES INC  EQUITY 98416J100         74      18,789 SH       SOLE           1     18,789         --       --
XEROX CORP               EQUITY 984121103         14       1,022 SH       SOLE           2      1,022         --       --
XEROX CORP               EQUITY 984121103          3         207 SH       DEFINED        4         --         --      207
XEROX CORP               EQUITY 984121103         12         900 SH       DEFINED        5         --         --      900
XEROX CORP.              EQUITY 984121103      5,291     390,193 SH       SOLE           1    390,193         --       --
XILINX INC               EQUITY 983919101        446      17,678 SH       SOLE           2     17,678         --       --
XILINX, INC.             EQUITY 983919101      4,771     188,940 SH       SOLE           1    188,940         --       --
XL CAP LTD               EQUITY G98255105          1          60 SH       DEFINED        4         --         --       60





                                                                                
XL CAPITAL LTD           EQUITY G98255105          4         204 SH       SOLE           2        204         --       --
XM SATELLITE RADIO
   HLDGS INC             EQUITY 983759101        137      17,530 SH       DEFINED        5         --         --   17,530
XM SATTELLITE RADIO
   HOLDINGS              EQUITY 983759101        185      23,540 SH       SOLE           1     23,540         --       --
XTO ENERGY INC           EQUITY 98385X106     13,903     202,937 SH       SOLE           1    202,937         --       --
XTO ENERGY INC           EQUITY 98385X106      7,929     224,201 SH       SOLE           2    224,201         --       --
XTO ENERGY INC           EQUITY 98385X106         38         558 SH       DEFINED        4         --         --      558
XTO ENERGY INC           EQUITY 98385X106        121       1,766 SH       DEFINED        5         --         --    1,766
XYRATEX LTD              EQUITY G98268108         17       1,000 SH       DEFINED        5         --         --    1,000
YADKIN VY BK & TR ELKIN
   N C                   EQUITY 984314104        124      10,378 SH       SOLE           1     10,378         --       --
YAHOO INC                EQUITY 984332106        459      22,227 SH       SOLE           2     22,227         --       --
YAHOO INC                EQUITY 984332106         49       2,380 SH       DEFINED        4         --         --    2,380
YAHOO INC                EQUITY 984332106         16         777 SH       DEFINED        5         --         --      777
YAHOO INC CALL           EQUITY 984332906          3          10     CALL DEFINED        5         --         --       10
YAHOO!, INC.             EQUITY 984332106     17,588     851,304 SH       SOLE           1    851,304         --       --
YAMANA GOLD INC          EQUITY 98462Y100        443      26,597 SH       OTHER          1         --     26,597       --
YAMANA GOLD INC          EQUITY 98462Y100        257      15,543 SH       DEFINED        5         --         --   15,543
YANZHOU COAL MNG CO LTD  EQUITY 984846105          7          78 SH       DEFINED        5         --         --       78
YINGLI GREEN ENERGY
   HLDG CO               EQUITY 98584B103         55       3,450 SH       DEFINED        4         --         --    3,450
YPF SOCIEDAD ANONIMA     EQUITY 984245100          4          94 SH       DEFINED        4         --         --       94
YRC WORLDWIDE INC        EQUITY 984249102      2,732     183,719 SH       SOLE           1    183,719         --       --
YRC WORLDWIDE INC        EQUITY 984249102          6         375 SH       DEFINED        4         --         --      375
YRC WORLDWIDE INC        EQUITY 984249102         15       1,000 SH       DEFINED        5         --         --    1,000
YUCHENG TECH LTD COM (F) EQUITY G98777108      1,110      99,200 SH       SOLE           3      99200         --       --
YUM BRANDS INC           EQUITY 988498101         93       2,639 SH       SOLE           2      2,639         --       --
YUM BRANDS INC           EQUITY 988498101         11         308 SH       DEFINED        4         --         --      308
YUM BRANDS INC           EQUITY 988498101        236       6,721 SH       DEFINED        5         --         --    6,721
YUM! BRANDS INC          EQUITY 988498101      8,194     233,528 SH       SOLE           1    233,528         --       --
ZALE CORP.               EQUITY 988858106        607      32,159 SH       SOLE           1     32,159         --       --
ZARLINK SEMICONDUCTOR
   INC                   EQUITY 989139100         11      12,018 SH       DEFINED        4         --         --   12,018
ZEBRA TECHNOLOGIES CORP  EQUITY 989207105        490      15,000 SH       SOLE           2     15,000         --       --
ZEBRA TECHNOLOGIES CORP  EQUITY 989207105         10         317 SH       DEFINED        5         --         --      317
ZEBRA TECHNOLOGIES
   CORP. CLASS A         EQUITY 989207105      4,956     151,840 SH       SOLE           1    151,840         --       --
ZENITH NATIONAL
   INSURANCE CORP        EQUITY 989390109      1,184      33,684 SH       SOLE           1     33,684         --       --
ZEP INC                  EQUITY 98944B108        282      18,939 SH       SOLE           1     18,939         --       --
ZHONE TECHNOLOGIES INC
   NEW                   EQUITY 98950P108         45      58,000 SH       DEFINED        5         --         --   58,000
ZHONGPIN INC             EQUITY 98952K107        209      16,709 SH       SOLE           1     16,709         --       --
ZILA INC                 EQUITY 989513205         10      34,300 SH       DEFINED        5         --         --   34,300
ZIMMER HLDGS INC         EQUITY 98956P102         23         338 SH       DEFINED        4         --         --      338
ZIMMER HLDGS INC         EQUITY 98956P102         28         410 SH       DEFINED        5         --         --      410
ZIMMER HOLDINGS INC      EQUITY 98956P102      7,149     105,053 SH       SOLE           1    105,053         --       --
ZIMMER HOLDINGS INC      EQUITY 98956P102     19,710     289,633 SH       SOLE           2    289,633         --       --
ZIONS BANCORP            EQUITY 989701107         73       2,312 SH       SOLE           2      2,312         --       --
ZIONS BANCORPORATION     EQUITY 989701107      1,493      47,426 SH       SOLE           1     47,426         --       --
ZIONS BANCORPORATION     EQUITY 989701107         22         700 SH       DEFINED        5         --         --      700
ZOLL MED CORP            EQUITY 989922109        582      17,300 SH       SOLE           2     17,300         --       --
ZOLL MED CORP            EQUITY 989922109          3          90 SH       DEFINED        5         --         --       90
ZOLL MEDICAL CORP.       EQUITY 989922109        637      18,929 SH       SOLE           1     18,929         --       --
ZOLTEK COMPANIES INC     EQUITY 98975W104        604      24,927 SH       SOLE           1     24,927         --       --
ZOLTEK COS INC           EQUITY 98975W104          5         200 SH       DEFINED        4         --         --      200
ZORAN CORP.              EQUITY 98975F101        549      46,920 SH       SOLE           1     46,920         --       --
ZUMIEZ INC               EQUITY 989817101        295      17,787 SH       SOLE           1     17,787         --       --
ZWEIG TOTAL RETURN FD
   INC                   EQUITY 989837109         16       3,565 SH       DEFINED        5         --         --    3,565
ZYGO CORP.               EQUITY 989855101        136      13,841 SH       SOLE           1     13,841         --       --
ZYMOGENETICS INC         EQUITY 98985T109        285      33,793 SH       SOLE           1     33,793         --       --